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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: September 30, 2011


Check here if Amendment [ ];


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

Institutional Investment Manager Filing this Report:

Name: AMERICAN INTERNATIONAL GROUP, INC.


Address: 180 Maiden Lane

         New York, New York 10038


Form 13F File Number:  28-219



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

Person Signing this Report on Behalf of Reporting Manager:

Name:  Monika M. Machon

Title: Senior Vice President

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Monika M. Machon               New York, New York        November 11, 2011
-------------------------------    ------------------------  -----------------
(Signature)                        (City, State)             (Date)

Report Type (Check only one.):

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

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

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






                             FORM 13F SUMMARY PAGE

REPORT SUMMARY:


Number of Other Included Managers:  4



Form 13F Information Table Entry Total: 8,006

Form 13F Information Table Value Total: $9,841,906 (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.


No.       Form 13F File Number     Name
--        --------------------     -------------------------------------------

1         28-2725                  SUNAMERICA ASSET MANAGEMENT CORP.

2         28-11910                 FSC SECURITIES CORPORATION

3         28-12857                 SAGEPOINT FINANCIAL, INC.

4         28-14431                 ROYAL ALLIANCE ASSOCIATES, INC.



                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
1 800 FLOWERS.COM INC CL A      COM    68243Q106       44,036    18,981   SH         SOLE         1     18,981
1ST SOURCE CORP                 COM    336901103      231,463    11,112   SH         SOLE         1     11,112
1ST UNITED BANCORP INC/NOR      COM    33740N105       98,038    19,886   SH         SOLE         1     19,886
3-D SYS CORP DEL                COM    88554D205        2,798       200   SH         DEFINED      4                            200
3D SYSTEMS CORP                 COM    88554D205      428,262    30,612   SH         SOLE         1     30,612
3M CO                           COM    88579Y101   15,325,945   213,483   SH         SOLE         1    213,483
3M CO                           COM    88579Y101      101,009     1,407   SH         DEFINED      4                          1,407
3M CO                           COM    88579Y101      308,449     4,297   SH         DEFINED      3                          4,297
3M CO                           COM    88579Y101      434,545     6,053   SH         DEFINED      2                          6,053
3SBIO INC                       COM    88575Y105       13,374     1,121   SH         DEFINED      4                          1,121
8X8 INC                         COM    282914100      184,640    45,366   SH         SOLE         1     45,366
99 CENTS ONLY STORES            COM    65440K106    2,516,375   136,611   SH         SOLE         1    136,611
A C MOORE ARTS & CRAFTS INC     COM    00086T103        2,502     2,360   SH         DEFINED      3                          2,360
A123 SYS INC                    COM    03739T108          344       100   SH         DEFINED      4                            100
A123 SYS INC                    COM    03739T108        1,720       500   SH         DEFINED      3                            500
A123 SYS INC                    COM    03739T108        9,460     2,750   SH         DEFINED      2                          2,750
A123 SYSTEMS INC                COM    03739T108      221,849    64,491   SH         SOLE         1     64,491
AAON INC                        COM    000360206      242,267    15,382   SH         SOLE         1     15,382
AAR CORP                        COM    000361105      542,592    32,549   SH         SOLE         1     32,549
AARON S INC                     COM    002535300    4,340,172   171,888   SH         SOLE         1    171,888
ABAXIS INC                      COM    002567105      423,216    18,473   SH         SOLE         1     18,473
ABAXIS INC                      COM    002567105          733        32   SH         DEFINED      3                             32
ABB LTD                         COM    000375204       27,328     1,600   SH         DEFINED      4                          1,600
ABB LTD                         COM    000375204       13,664       800   SH         DEFINED      3                            800
ABB LTD                         COM    000375204       13,664       800   SH         DEFINED      2                            800
ABBOTT LABORATORIES             COM    002824100   27,622,095   540,127   SH         SOLE         1    540,127
ABBOTT LABS                     COM    002824100    1,541,988    30,152   SH         DEFINED      4                         30,152
ABBOTT LABS                     COM    002824100    1,597,948    31,247   SH         DEFINED      3                         31,247
ABBOTT LABS                     COM    002824100    2,044,642    39,981   SH         DEFINED      2                         39,981
ABERCROMBIE & FITCH CO          COM    002896207          985        16   SH         DEFINED      3                             16
ABERCROMBIE + FITCH CO CL       COM    002896207    2,045,516    33,228   SH         SOLE         1     33,228
ABERDEEN ASIA PACIFIC INCOM     COM    003009107       12,508     1,815   SH         DEFINED      4                          1,815
ABERDEEN ASIA PACIFIC INCOM     COM    003009107      654,605    95,008   SH         DEFINED      3                         95,008
ABERDEEN AUSTRALIA EQTY FD I    COM    003011103       19,140     2,000   SH         DEFINED      3                          2,000
ABERDEEN CHILE FD INC           COM    00301W105       49,950     3,530   SH         DEFINED      4                          3,530
ABERDEEN GLOBAL INCOME FD IN    COM    003013109       12,709     1,020   SH         DEFINED      4                          1,020
ABERDEEN ISRAEL FUND INC        COM    00301L109       14,000     1,000   SH         DEFINED      3                          1,000
ABERDEEN ISRAEL FUND INC        COM    00301L109        4,130       295   SH         DEFINED      2                            295
ABERDEEN LATIN AMER EQTY FD     COM    00306K106        7,934       272   SH         DEFINED      3                            272
ABINGTON BANCORP INC            COM    00350L109      106,409    14,779   SH         SOLE         1     14,779
ABIOMED INC                     COM    003654100      255,168    23,134   SH         SOLE         1     23,134
ABITIBIBOWATER INC              COM    003687209        2,925       195   SH         DEFINED      2                            195
ABM INDUSTRIES INC              COM    000957100      819,046    42,972   SH         SOLE         1     42,972
ABOVENET INC                    COM    00374N107      908,627    16,952   SH         SOLE         1     16,952
ABOVENET INC                    COM    00374N107       61,908     1,155   SH         DEFINED      3                          1,155
ABRAXAS PETROLEUM CORP          COM    003830106      158,664    60,100   SH         SOLE         1     60,100
ACACIA RESEARCH   ACACIA T      COM    003881307    1,124,292    31,239   SH         SOLE         1     31,239
ACADIA PHARMACEUTICALS INC      COM    004225108        4,320     4,000   SH         DEFINED      2                          4,000
ACADIA REALTY TRUST             COM    004239109      617,717    33,033   SH         SOLE         1     33,033
ACADIA RLTY TR                  COM    004239109       44,693     2,390   SH         DEFINED      3                          2,390
ACCELRYS INC                    COM    00430U103      245,157    40,455   SH         SOLE         1     40,455
ACCELRYS INC                    COM    00430U103        1,364       225   SH         DEFINED      2                            225
ACCENTURE PLC CL A              COM    G1151C101   22,347,752   424,217   SH         SOLE         1    424,217
ACCENTURE PLC IRELAND           COM    G1151C101       10,536       200   SH         DEFINED      4                            200
ACCENTURE PLC IRELAND           COM    G1151C101       25,919       492   SH         DEFINED      3                            492
ACCENTURE PLC IRELAND           COM    G1151C101       12,380       235   SH         DEFINED      2                            235
ACCO BRANDS CORP                COM    00081T108      192,145    40,282   SH         SOLE         1     40,282
ACCRETIVE HEALTH INC            COM    00438V103      620,383    29,222   SH         SOLE         1     29,222
ACCURAY INC                     COM    004397105      200,767    49,942   SH         SOLE         1     49,942
ACCURIDE CORP                   COM    00439T206      151,250    29,541   SH         SOLE         1     29,541
ACE LTD                         COM    H0023R105    9,647,035   159,192   SH         SOLE         1    159,192
ACE LTD                         COM    H0023R105       25,270       417   SH         DEFINED      3                            417
ACETO CORP                      COM    004446100      102,853    19,443   SH         SOLE         1     19,443
ACHILLION PHARMACEUTICALS       COM    00448Q201      163,510    34,642   SH         SOLE         1     34,642
ACI WORLDWIDE INC               COM    004498101    2,668,819    96,907   SH         SOLE         1     96,907
ACME PACKET INC                 COM    004764106      291,614     6,847   SH         SOLE         1      6,847
ACME PACKET INC                 COM    004764106       19,166       450   SH         DEFINED      3                            450
ACME PACKET INC                 COM    004764106        2,342        55   SH         DEFINED      2                             55
ACORDA THERAPEUTICS INC         COM    00484M106      575,287    28,822   SH         SOLE         1     28,822
ACTIVE NETWORK INC/THE          COM    00506D100      132,426     8,978   SH         SOLE         1      8,978
ACTIVE POWER INC                COM    00504W100       75,371    58,427   SH         SOLE         1     58,427
ACTIVISION BLIZZARD INC         COM    00507V109    3,980,288   334,478   SH         SOLE         1    334,478
ACTIVISION BLIZZARD INC         COM    00507V109       18,493     1,554   SH         DEFINED      4                          1,554
ACTIVISION BLIZZARD INC         COM    00507V109          690        58   SH         DEFINED      3                             58
ACTUANT CORP A                  COM    00508X203    1,109,891    56,197   SH         SOLE         1     56,197
ACTUATE CORP                    COM    00508B102      144,861    26,243   SH         SOLE         1     26,243
ACUITY BRANDS INC               COM    00508Y102    4,524,101   125,530   SH         SOLE         1    125,530






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ACUITY BRANDS INC               COM    00508Y102        2,162        60   SH         DEFINED      2                             60
ACURA PHARMACEUTICALS INC       COM    00509L703       26,717     7,858   SH         SOLE         1      7,858
ACXIOM CORP                     COM    005125109    2,510,721   235,970   SH         SOLE         1    235,970
ADECOAGRO S A                   COM    L00849106        4,310       500   SH         DEFINED      4                            500
ADECOAGRO S A                   COM    L00849106       17,240     2,000   SH         DEFINED      2                          2,000
ADMINISTRADORA FONDOS PENSIO    COM    00709P108        9,991       175   SH         DEFINED      4                            175
ADMINISTRADORA FONDOS PENSIO    COM    00709P108        5,709       100   SH         DEFINED      3                            100
ADOBE SYS INC                   COM    00724F101       24,412     1,010   SH         DEFINED      4                          1,010
ADOBE SYS INC                   COM    00724F901        2,110        10   SH  C      DEFINED      4                             10
ADOBE SYS INC                   COM    00724F101        3,891       161   SH         DEFINED      3                            161
ADOBE SYS INC                   COM    00724F101        8,097       335   SH         DEFINED      2                            335
ADOBE SYSTEMS INC               COM    00724F101    5,761,451   238,372   SH         SOLE         1    238,372
ADTRAN INC                      COM    00738A106    4,946,274   186,934   SH         SOLE         1    186,934
ADVANCE AMERICA CASH ADVAN      COM    00739W107      296,144    40,237   SH         SOLE         1     40,237
ADVANCE AUTO PARTS INC          COM    00751Y106    9,347,186   160,881   SH         SOLE         1    160,881
ADVANCE AUTO PARTS INC          COM    00751Y106       29,050       500   SH         DEFINED      3                            500
ADVANCE AUTO PARTS INC          COM    00751Y106       10,168       175   SH         DEFINED      2                            175
ADVANCED ANALOGIC TECHNOLO      COM    00752J108      135,897    31,385   SH         SOLE         1     31,385
ADVANCED BATTERY TECHNOLOG I    COM    00752H102        1,172     1,160   SH         DEFINED      2                          1,160
ADVANCED ENERGY INDUSTRIES      COM    007973100      307,631    35,688   SH         SOLE         1     35,688
ADVANCED MICRO DEVICES          COM    007903107    1,385,143   272,666   SH         SOLE         1    272,666
ADVANCED MICRO DEVICES INC      COM    007903107        8,636     1,700   SH         DEFINED      4                          1,700
ADVANCED MICRO DEVICES INC      COM    007903107       37,643     7,410   SH         DEFINED      3                          7,410
ADVANCED MICRO DEVICES INC      COM    007903107       19,528     3,844   SH         DEFINED      2                          3,844
ADVANCED MICRO DEVICES INC      COM    007903907          114        18   SH  C      DEFINED      2                             18
ADVANTAGE OIL & GAS LTD         COM    00765F101       26,180     7,000   SH         DEFINED      3                          7,000
ADVANTAGE OIL & GAS LTD         COM    00765F101       14,212     3,800   SH         DEFINED      2                          3,800
ADVENT CLAY GBL CONV SEC INC    COM    007639107        3,150       500   SH         DEFINED      2                            500
ADVENT CLAYMORE CV SECS & IN    COM    00764C109       28,940     2,000   SH         DEFINED      3                          2,000
ADVENT CLAYMORE ENH GRW & IN    COM    00765E104       19,163     2,101   SH         DEFINED      3                          2,101
ADVENT SOFTWARE INC             COM    007974108    1,988,444    95,369   SH         SOLE         1     95,369
ADVISORSHARES TR                COM    00768Y800      282,542    11,807   SH         DEFINED      3                         11,807
ADVISORSHARES TR                COM    00768Y800        9,572       400   SH         DEFINED      2                            400
ADVISORY BOARD CO/THE           COM    00762W107      746,999    11,576   SH         SOLE         1     11,576
AECOM TECHNOLOGY CORP           COM    00766T100    4,619,645   261,440   SH         SOLE         1    261,440
AEGERION PHARMACEUTICALS I      COM    00767E102       84,572     6,675   SH         SOLE         1      6,675
AEGON N V                       COM    007924103          531       131   SH         DEFINED      2                            131
AEP INDUSTRIES INC              COM    001031103       77,811     3,505   SH         SOLE         1      3,505
AERCAP HOLDINGS NV              COM    N00985106       13,888     1,400   SH         DEFINED      3                          1,400
AEROFLEX HOLDING CORP           COM    007767106      131,868    14,491   SH         SOLE         1     14,491
AEROPOSTALE                     COM    007865108       14,053     1,300   SH         DEFINED      4                          1,300
AEROPOSTALE INC                 COM    007865108    2,529,097   233,959   SH         SOLE         1    233,959
AEROVIRONMENT INC               COM    008073108      393,650    13,984   SH         SOLE         1     13,984
AES CORP                        COM    00130H105    3,482,934   356,858   SH         SOLE         1    356,858
AES CORP                        COM    00130H105        6,832       700   SH         DEFINED      2                            700
AES TR III                      COM    00808N202       29,442       600   SH         DEFINED      4                            600
AES TR III                      COM    00808N202      300,161     6,117   SH         DEFINED      3                          6,117
AES TR III                      COM    00808N202       29,442       600   SH         DEFINED      2                            600
AETNA INC                       COM    00817Y108    6,868,151   188,945   SH         SOLE         1    188,945
AETNA INC NEW                   COM    00817Y108       10,902       300   SH         DEFINED      4                            300
AETNA INC NEW                   COM    00817Y108       28,090       773   SH         DEFINED      3                            773
AETNA INC NEW                   COM    00817Y108        7,268       200   SH         DEFINED      2                            200
AFC ENTERPRISES                 COM    00104Q107      213,934    18,084   SH         SOLE         1     18,084
AFFILIATED MANAGERS GROUP       COM    008252108   13,952,218   178,760   SH         SOLE         1    178,760
AFFYMAX INC                     COM    00826A109      115,781    25,844   SH         SOLE         1     25,844
AFFYMETRIX INC                  COM    00826T108      282,946    57,744   SH         SOLE         1     57,744
AFLAC INC                       COM    001055102    4,908,553   140,445   SH         SOLE         1    140,445
AFLAC INC                       COM    001055102       22,718       650   SH         DEFINED      4                            650
AFLAC INC                       COM    001055102      130,440     3,732   SH         DEFINED      3                          3,732
AFLAC INC                       COM    001055102       44,384     1,270   SH         DEFINED      2                          1,270
AGCO CORP                       COM    001084102    7,329,808   212,028   SH         SOLE         1    212,028
AGCO CORP                       COM    001084102        3,734       108   SH         DEFINED      4                            108
AGCO CORP                       COM    001084102       15,280       442   SH         DEFINED      3                            442
AGCO CORP                       COM    001084102        6,914       200   SH         DEFINED      2                            200
AGENUS INC                      COM    00847G101          423       900   SH         DEFINED      4                            900
AGFEED INDUSTRIES INC           COM    00846L101          364       700   SH         DEFINED      3                            700
AGFEED INDUSTRIES INC           COM    00846L101          364       700   SH         DEFINED      2                            700
AGIC CONV & INCOME FD           COM    001190107      307,648    37,066   SH         DEFINED      3                         37,066
AGIC CONV & INCOME FD           COM    001190107       62,798     7,566   SH         DEFINED      2                          7,566
AGIC CONV & INCOME FD II        COM    001191105            8         1   SH         DEFINED      4                              1
AGIC CONV & INCOME FD II        COM    001191105       32,634     4,200   SH         DEFINED      3                          4,200
AGIC INTL & PREM STRATEGY FD    COM    00119Q100        5,055       500   SH         DEFINED      2                            500
AGILENT TECHNOLOGIES INC        COM    00846U101   11,626,813   372,058   SH         SOLE         1    372,058
AGILENT TECHNOLOGIES INC        COM    00846U101       12,500       400   SH         DEFINED      3                            400
AGILENT TECHNOLOGIES INC        COM    00846U101       86,125     2,756   SH         DEFINED      2                          2,756
AGILYSYS INC                    COM    00847J105      102,914    14,434   SH         SOLE         1     14,434
AGILYSYS INC                    COM    00847J105        2,674       375   SH         DEFINED      2                            375
AGL RES INC                     COM    001204106      114,072     2,800   SH         DEFINED      4                          2,800
AGL RES INC                     COM    001204106      112,442     2,760   SH         DEFINED      3                          2,760
AGL RES INC                     COM    001204106       32,388       795   SH         DEFINED      2                            795
AGL RESOURCES INC               COM    001204106    7,029,443   172,544   SH         SOLE         1    172,544






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
AGNICO EAGLE MINES LTD          COM    008474108    2,333,184    39,200   SH         SOLE         1     39,200
AGNICO EAGLE MINES LTD          COM    008474108      418,366     7,029   SH         DEFINED      4                          7,029
AGNICO EAGLE MINES LTD          COM    008474108      443,424     7,450   SH         DEFINED      3                          7,450
AGNICO EAGLE MINES LTD          COM    008474108       41,664       700   SH         DEFINED      2                            700
AGREE REALTY CORP               COM    008492100      156,794     7,199   SH         SOLE         1      7,199
AGREE REALTY CORP               COM    008492100        6,534       300   SH         DEFINED      2                            300
AGRIUM INC                      COM    008916108        2,000        30   SH         DEFINED      3                             30
AH BELO CORP A                  COM    001282102       57,208    13,621   SH         SOLE         1     13,621
AIR LEASE CORP                  COM    00912X302       18,547       966   SH         SOLE         1        966
AIR METHODS CORP                COM    009128307      590,539     9,275   SH         SOLE         1      9,275
AIR METHODS CORP                COM    009128307        5,412        85   SH         DEFINED      3                             85
AIR PRODS & CHEMS INC           COM    009158106        1,833        24   SH         DEFINED      4                             24
AIR PRODS & CHEMS INC           COM    009158106       20,009       262   SH         DEFINED      3                            262
AIR PRODS & CHEMS INC           COM    009158106      300,098     3,930   SH         DEFINED      2                          3,930
AIR PRODUCTS + CHEMICALS I      COM    009158106    8,717,101   114,143   SH         SOLE         1    114,143
AIR TRANSPORT SERVICES GRO      COM    00922R105      170,234    39,315   SH         SOLE         1     39,315
AIR TRANSPORT SERVICES GRP I    COM    00922R105        6,062     1,400   SH         DEFINED      2                          1,400
AIRCASTLE LTD                   COM    G0129K104      403,600    42,395   SH         SOLE         1     42,395
AIRGAS INC                      COM    009363102    1,382,341    21,660   SH         SOLE         1     21,660
AIRGAS INC                      COM    009363102          191         3   SH         DEFINED      3                              3
AIRGAS INC                      COM    009363102        8,616       135   SH         DEFINED      2                            135
AK STEEL HOLDING CORP           COM    001547108    3,569,421   545,783   SH         SOLE         1    545,783
AK STL HLDG CORP                COM    001547108       45,126     6,900   SH         DEFINED      3                          6,900
AK STL HLDG CORP                COM    001547108        9,810     1,500   SH         DEFINED      2                          1,500
AKAMAI TECHNOLOGIES INC         COM    00971T101    1,598,292    80,397   SH         SOLE         1     80,397
AKAMAI TECHNOLOGIES INC         COM    00971T101       17,892       900   SH         DEFINED      4                            900
AKAMAI TECHNOLOGIES INC         COM    00971T101        3,459       174   SH         DEFINED      3                            174
AKAMAI TECHNOLOGIES INC         COM    00971T101       23,856     1,200   SH         DEFINED      2                          1,200
AKORN INC                       COM    009728106      319,827    40,951   SH         SOLE         1     40,951
AKORN INC                       COM    009728106      105,838    13,569   SH         DEFINED      3                         13,569
ALAMO GROUP INC                 COM    011311107      101,393     4,877   SH         SOLE         1      4,877
ALASKA AIR GROUP INC            COM    011659109    5,863,617   104,168   SH         SOLE         1    104,168
ALASKA COMM SYSTEMS GROUP       COM    01167P101      216,421    32,991   SH         SOLE         1     32,991
ALASKA COMMUNICATIONS SYS GR    COM    01167P101      166,305    25,390   SH         DEFINED      4                         25,390
ALBANY INTL CORP                CNV    012348AC2        1,943         2   PRN        DEFINED      3                              2
ALBANY INTL CORP                COM    012348108          329        18   SH         DEFINED      3                             18
ALBANY INTL CORP CL A           COM    012348108      414,038    22,687   SH         SOLE         1     22,687
ALBANY MOLECULAR RESEARCH       COM    012423109       45,326    16,073   SH         SOLE         1     16,073
ALBEMARLE CORP                  COM    012653101    8,090,060   200,249   SH         SOLE         1    200,249
ALBEMARLE CORP                  COM    012653101        8,363       207   SH         DEFINED      3                            207
ALCATEL-LUCENT                  COM    013904305        4,684     1,655   SH         DEFINED      4                          1,655
ALCATEL-LUCENT                  COM    013904305        9,079     3,208   SH         DEFINED      3                          3,208
ALCATEL-LUCENT                  COM    013904305       35,180    12,431   SH         DEFINED      2                         12,431
ALCOA INC                       COM    013817101    3,080,114   321,851   SH         SOLE         1    321,851
ALCOA INC                       COM    013817101      109,194    11,410   SH         DEFINED      4                         11,410
ALCOA INC                       COM    013817101      338,619    35,383   SH         DEFINED      3                         35,383
ALCOA INC                       COM    013817101      199,728    20,870   SH         DEFINED      2                         20,870
ALERE INC                       COM    01449J105       46,688     2,376   SH         SOLE         1      2,376
ALEXANDER + BALDWIN INC         COM    014482103    3,344,541    91,556   SH         SOLE         1     91,556
ALEXANDER S INC                 COM    014752109      541,169     1,499   SH         SOLE         1      1,499
ALEXANDRIA REAL ESTATE EQ IN    COM    015271109        1,289        21   SH         DEFINED      3                             21
ALEXANDRIA REAL ESTATE EQU      COM    015271109    8,354,381   136,087   SH         SOLE         1    136,087
ALEXCO RESOURCE CORP            COM    01535P106        2,034       300   SH         DEFINED      2                            300
ALEXION PHARMACEUTICALS IN      COM    015351109   12,139,178   189,497   SH         SOLE         1    189,497
ALEXION PHARMACEUTICALS INC     COM    015351109       19,218       300   SH         DEFINED      3                            300
ALEXION PHARMACEUTICALS INC     COM    015351109        1,537        24   SH         DEFINED      2                             24
ALICO INC                       COM    016230104       50,789     2,586   SH         SOLE         1      2,586
ALIGN TECHNOLOGY INC            COM    016255101      771,410    50,851   SH         SOLE         1     50,851
ALIMERA SCIENCES INC            COM    016259103       65,568     8,196   SH         SOLE         1      8,196
ALLEGHANY CORP                  COM    017175100       53,084       184   SH         SOLE         1        184
ALLEGHENY TECHNOLOGIES INC      COM    01741R102    1,723,290    46,588   SH         SOLE         1     46,588
ALLEGHENY TECHNOLOGIES INC      COM    01741R102      179,423     4,851   SH         DEFINED      3                          4,851
ALLEGHENY TECHNOLOGIES INC      COM    01741R102        7,408       200   SH         DEFINED      2                            200
ALLEGIANT TRAVEL CO             COM    01748X102      571,593    12,128   SH         SOLE         1     12,128
ALLERGAN INC                    COM    018490102   13,630,430   165,458   SH         SOLE         1    165,458
ALLERGAN INC                    COM    018490102      222,591     2,702   SH         DEFINED      3                          2,702
ALLETE INC                      COM    018522300      957,508    26,140   SH         SOLE         1     26,140
ALLETE INC                      COM    018522300          842        23   SH         DEFINED      3                             23
ALLETE INC                      COM    018522300       10,989       300   SH         DEFINED      2                            300
ALLIANCE CALIF MUN INCOME FD    COM    018546101      112,586     8,297   SH         DEFINED      3                          8,297
ALLIANCE DATA SYSTEMS CORP      COM    018581108   10,306,571   111,182   SH         SOLE         1    111,182
ALLIANCE FINANCIAL CORP         COM    019205103       97,221     3,466   SH         SOLE         1      3,466
ALLIANCE HEALTHCARE SERVIC      COM    018606202       20,381    17,878   SH         SOLE         1     17,878
ALLIANCE HOLDINGS GP LP         COM    01861G100       22,127       503   SH         DEFINED      3                            503
ALLIANCE ONE INTERNATIONAL      COM    018772103      174,067    71,339   SH         SOLE         1     71,339
ALLIANCE ONE INTL INC           COM    018772103        1,220       500   SH         DEFINED      4                            500
ALLIANCE RES PARTNER L P        COM    01877R108      126,084     1,923   SH         DEFINED      4                          1,923
ALLIANCE RES PARTNER L P        COM    01877R108       29,371       448   SH         DEFINED      3                            448
ALLIANCE RES PARTNER L P        COM    01877R108      229,460     3,500   SH         DEFINED      2                          3,500
ALLIANCEBERNSTEIN GBL HGH IN    COM    01879R106      140,790    10,830   SH         DEFINED      4                         10,830
ALLIANCEBERNSTEIN GBL HGH IN    COM    01879R106      161,538    12,426   SH         DEFINED      3                         12,426






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ALLIANCEBERNSTEIN HOLDING LP    COM    01881G106       95,969     7,031   SH         DEFINED      3                          7,031
ALLIANCEBERNSTEIN INCOME FUN    COM    01881E101        3,834       481   SH         DEFINED      4                            481
ALLIANCEBERNSTEIN INCOME FUN    COM    01881E101    1,395,852   175,138   SH         DEFINED      3                        175,138
ALLIANCEBERNSTEIN INCOME FUN    COM    01881E101      204,829    25,700   SH         DEFINED      2                         25,700
ALLIANCEBERNSTEIN NATL MUNI     COM    01864U106      579,998    40,874   SH         DEFINED      3                         40,874
ALLIANT ENERGY CORP             COM    018802108    9,432,002   243,847   SH         SOLE         1    243,847
ALLIANT ENERGY CORP             COM    018802108          155         4   SH         DEFINED      3                              4
ALLIANT ENERGY CORP             COM    018802108        9,683       250   SH         DEFINED      2                            250
ALLIANT TECHSYSTEMS INC         COM    018804104    3,941,237    72,303   SH         SOLE         1     72,303
ALLIANT TECHSYSTEMS INC         COM    018804104        5,942       109   SH         DEFINED      3                            109
ALLIED MOTION TECHNOLOGIES I    COM    019330109       44,640     9,000   SH         DEFINED      2                          9,000
ALLIED NEVADA GOLD CORP         COM    019344100       50,600     1,413   SH         SOLE         1      1,413
ALLIED NEVADA GOLD CORP         COM    019344100        1,289        36   SH         DEFINED      2                             36
ALLIED WORLD ASSURANCE CO       COM    H01531104       56,610     1,054   SH         SOLE         1      1,054
ALLIED WRLD ASSUR COM HLDG A    COM    H01531104        2,148        40   SH         DEFINED      4                             40
ALLOS THERAPEUTICS INC          COM    019777101      105,885    57,546   SH         SOLE         1     57,546
ALLOS THERAPEUTICS INC          COM    019777101           92        50   SH         DEFINED      2                             50
ALLSCRIPTS HEALTHCARE SOLU      COM    01988P108    7,398,147   410,552   SH         SOLE         1    410,552
ALLSCRIPTS HEALTHCARE SOLUTN    COM    01988P108       17,119       950   SH         DEFINED      3                            950
ALLSCRIPTS HEALTHCARE SOLUTN    COM    01988P108       18,020     1,000   SH         DEFINED      2                          1,000
ALLSTATE CORP                   COM    020002101    3,701,397   156,243   SH         SOLE         1    156,243
ALLSTATE CORP                   COM    020002101       40,415     1,706   SH         DEFINED      4                          1,706
ALLSTATE CORP                   COM    020002101       30,465     1,286   SH         DEFINED      3                          1,286
ALLSTATE CORP                   COM    020002101      110,538     4,666   SH         DEFINED      2                          4,666
ALMOST FAMILY INC               COM    020409108      112,053     6,738   SH         SOLE         1      6,738
ALNYLAM PHARMACEUTICALS IN      COM    02043Q107      176,634    26,885   SH         SOLE         1     26,885
ALNYLAM PHARMACEUTICALS INC     COM    02043Q107        8,245     1,255   SH         DEFINED      2                          1,255
ALON USA ENERGY INC             COM    020520102       50,756     8,280   SH         SOLE         1      8,280
ALPHA + OMEGA SEMICONDUCTO      COM    G6331P104       88,102    10,731   SH         SOLE         1     10,731
ALPHA NATURAL RESOURCES IN      COM    02076X102    1,806,768   102,135   SH         SOLE         1    102,135
ALPHA NATURAL RESOURCES INC     COM    02076X102        1,769       100   SH         DEFINED      4                            100
ALPHA NATURAL RESOURCES INC     COM    02076X102      101,417     5,733   SH         DEFINED      2                          5,733
ALPHATEC HOLDINGS INC           COM    02081G102       83,098    39,383   SH         SOLE         1     39,383
ALPINE GLOBAL DYNAMIC DIVD F    COM    02082E106        3,210       600   SH         DEFINED      2                            600
ALPINE GLOBAL PREMIER PPTYS     COM    02083A103        3,610       676   SH         DEFINED      4                            676
ALPINE GLOBAL PREMIER PPTYS     COM    02083A103       30,630     5,736   SH         DEFINED      3                          5,736
ALPINE TOTAL DYNAMIC DIVID F    COM    021060108       36,367     8,064   SH         DEFINED      3                          8,064
ALPINE TOTAL DYNAMIC DIVID F    COM    021060108        4,623     1,025   SH         DEFINED      2                          1,025
ALPS ETF TR                     COM    00162Q866       54,338     3,565   SH         DEFINED      4                          3,565
ALPS ETF TR                     COM    00162Q866      100,584     6,600   SH         DEFINED      3                          6,600
ALPS ETF TR                     COM    00162Q106        6,089       200   SH         DEFINED      3                            200
ALPS ETF TR                     COM    00162Q205       19,413       600   SH         DEFINED      3                            600
ALPS ETF TR                     COM    00162Q866      571,759    37,517   SH         DEFINED      2                         37,517
ALTAIR NANOTECHNOLOGIES INC     COM    021373204          101        75   SH         DEFINED      2                             75
ALTERA CORP                     COM    021441100    4,585,219   145,424   SH         SOLE         1    145,424
ALTERA CORP                     COM    021441100        1,482        47   SH         DEFINED      4                             47
ALTERA CORP                     COM    021441100       11,981       380   SH         DEFINED      3                            380
ALTERA CORP                     COM    021441100        2,207        70   SH         DEFINED      2                             70
ALTERRA CAPITAL HOLDINGS L      COM    G0229R108    1,257,180    66,272   SH         SOLE         1     66,272
ALTRA HOLDINGS INC              COM    02208R106      227,027    19,622   SH         SOLE         1     19,622
ALTRIA GROUP INC                COM    02209S103   53,077,553 1,979,767   SH         SOLE         1  1,979,767
ALTRIA GROUP INC                COM    02209S103    1,247,887    46,546   SH         DEFINED      4                         46,546
ALTRIA GROUP INC                COM    02209S103    2,268,236    84,604   SH         DEFINED      3                         84,604
ALTRIA GROUP INC                COM    02209S103    1,503,425    56,077   SH         DEFINED      2                         56,077
ALZA CORP                       CNV    02261WAB5          899         1   PRN        DEFINED      4                              1
ALZA CORP                       CNV    02261WAB5        1,798         2   PRN        DEFINED      2                              2
AMAG PHARMACEUTICALS INC        COM    00163U106      228,116    15,455   SH         SOLE         1     15,455
AMAZON COM INC                  COM    023135106      246,502     1,140   SH         DEFINED      4                          1,140
AMAZON COM INC                  COM    023135956        3,670         2   SH  P      DEFINED      4                              2
AMAZON COM INC                  COM    023135106      328,021     1,517   SH         DEFINED      3                          1,517
AMAZON COM INC                  COM    023135106      199,364       922   SH         DEFINED      2                            922
AMAZON.COM INC                  COM    023135106   49,916,696   230,850   SH         SOLE         1    230,850
AMBASSADORS GROUP INC           COM    023177108       74,077    12,928   SH         SOLE         1     12,928
AMBIENT CORP                    COM    02318N201        1,900       250   SH         DEFINED      3                            250
AMC NETWORKS INC                COM    00164V103          735        23   SH         DEFINED      4                             23
AMC NETWORKS INC A              COM    00164V103    3,991,545   124,931   SH         SOLE         1    124,931
AMCOL INTERNATIONAL CORP        COM    02341W103      480,160    20,015   SH         SOLE         1     20,015
AMDOCS LTD                      COM    G02602103      153,825     5,672   SH         SOLE         1      5,672
AMDOCS LTD                      COM    G02602103        9,817       362   SH         DEFINED      3                            362
AMEDISYS INC                    COM    023436108      357,547    24,126   SH         SOLE         1     24,126
AMEDISYS INC                    COM    023436108          593        40   SH         DEFINED      4                             40
AMEDISYS INC                    COM    023436108        7,410       500   SH         DEFINED      3                            500
AMEDISYS INC                    COM    023436108       21,459     1,448   SH         DEFINED      2                          1,448
AMERCO                          COM    023586100      395,309     6,330   SH         SOLE         1      6,330
AMEREN CORP                     COM    023608102       12,406       417   SH         DEFINED      4                            417
AMEREN CORP                     COM    023608102      335,558    11,272   SH         DEFINED      3                         11,272
AMEREN CORP                     COM    023608102       16,165       543   SH         DEFINED      2                            543
AMEREN CORPORATION              COM    023608102    4,231,448   142,138   SH         SOLE         1    142,138
AMERESCO INC CL A               COM    02361E108      131,084    12,902   SH         SOLE         1     12,902
AMERICA FIRST TAX EX IVS L P    COM    02364V107        1,551       300   SH         DEFINED      2                            300
AMERICA MOVIL SAB DE CV         COM    02364W105       81,961     3,712   SH         DEFINED      4                          3,712






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
AMERICA MOVIL SAB DE CV         COM    02364W105       42,570     1,928   SH         DEFINED      3                          1,928
AMERICA MOVIL SAB DE CV         COM    02364W105       69,668     3,155   SH         DEFINED      2                          3,155
AMERICA S CAR MART INC          COM    03062T105      194,463     6,701   SH         SOLE         1      6,701
AMERICAN ASSETS TRUST INC       COM    024013104      422,381    23,531   SH         SOLE         1     23,531
AMERICAN AXLE & MFG HLDGS IN    COM    024061103       22,890     3,000   SH         DEFINED      2                          3,000
AMERICAN AXLE + MFG HOLDIN      COM    024061103      372,085    48,766   SH         SOLE         1     48,766
AMERICAN CAMPUS CMNTYS INC      COM    024835100       11,163       300   SH         DEFINED      3                            300
AMERICAN CAMPUS COMMUNITIE      COM    024835100    7,453,312   200,304   SH         SOLE         1    200,304
AMERICAN CAP LTD                COM    02503Y103       41,788     6,127   SH         DEFINED      4                          6,127
AMERICAN CAP LTD                COM    02503Y103       37,120     5,443   SH         DEFINED      3                          5,443
AMERICAN CAP LTD                COM    02503Y103        4,440       651   SH         DEFINED      2                            651
AMERICAN CAPITAL AGENCY CO      COM    02503X105      144,362     5,327   SH         SOLE         1      5,327
AMERICAN CAPITAL AGENCY CORP    COM    02503X105      169,538     6,256   SH         DEFINED      4                          6,256
AMERICAN CAPITAL AGENCY CORP    COM    02503X105       87,804     3,240   SH         DEFINED      3                          3,240
AMERICAN CAPITAL AGENCY CORP    COM    02503X105        7,046       260   SH         DEFINED      2                            260
AMERICAN CAPITAL LTD            COM    02503Y103       66,829     9,799   SH         SOLE         1      9,799
AMERICAN DENTAL PARTNERS I      COM    025353103      108,849    11,268   SH         SOLE         1     11,268
AMERICAN EAGLE OUTFITTERS       COM    02553E106    5,024,927   428,748   SH         SOLE         1    428,748
AMERICAN EAGLE OUTFITTERS NE    COM    02553E106        1,172       100   SH         DEFINED      4                            100
AMERICAN ELEC PWR INC           COM    025537101      182,478     4,800   SH         DEFINED      4                          4,800
AMERICAN ELEC PWR INC           COM    025537101      934,282    24,573   SH         DEFINED      3                         24,573
AMERICAN ELEC PWR INC           COM    025537101      109,688     2,885   SH         DEFINED      2                          2,885
AMERICAN ELECTRIC POWER         COM    025537101    7,034,232   185,014   SH         SOLE         1    185,014
AMERICAN EQUITY INVT LIFE       COM    025676206      380,240    43,456   SH         SOLE         1     43,456
AMERICAN EXPRESS CO             COM    025816109   25,029,460   557,449   SH         SOLE         1    557,449
AMERICAN EXPRESS CO             COM    025816109       64,387     1,434   SH         DEFINED      4                          1,434
AMERICAN EXPRESS CO             COM    025816109      149,713     3,334   SH         DEFINED      3                          3,334
AMERICAN EXPRESS CO             COM    025816109       50,513     1,125   SH         DEFINED      2                          1,125
AMERICAN FINANCIAL GROUP I      COM    025932104    5,358,736   172,473   SH         SOLE         1    172,473
AMERICAN GREETINGS CORP         COM    026375105        2,313       125   SH         DEFINED      3                            125
AMERICAN GREETINGS CORP CL      COM    026375105    2,177,894   117,724   SH         SOLE         1    117,724
AMERICAN INCOME FD INC          COM    02672T109      884,087   119,860   SH         DEFINED      3                        119,860
AMERICAN INTERNATIONAL GRO      COM    026874784    2,899,244   132,084   SH         SOLE         1    132,084
AMERICAN INTL GROUP INC         COM    026874784        9,965       454   SH         DEFINED      4                            454
AMERICAN INTL GROUP INC         COM    026874156        1,267       207   SH         DEFINED      4                            207
AMERICAN INTL GROUP INC         COM    026874784       52,373     2,386   SH         DEFINED      3                          2,386
AMERICAN INTL GROUP INC         COM    026874156        1,756       287   SH         DEFINED      3                            287
AMERICAN INTL GROUP INC         COM    026874784        5,202       237   SH         DEFINED      2                            237
AMERICAN INTL GROUP INC         COM    026874156        1,836       300   SH         DEFINED      2                            300
AMERICAN LORAIN CORP            COM    027297100        2,119     1,300   SH         DEFINED      2                          1,300
AMERICAN NATIONAL INSURANC      COM    028591105       13,227       191   SH         SOLE         1        191
AMERICAN PUBLIC EDUCATION       COM    02913V103      497,930    14,645   SH         SOLE         1     14,645
AMERICAN RAILCAR INDUSTRIE      COM    02916P103      109,367     7,111   SH         SOLE         1      7,111
AMERICAN REPROGRAPHICS CO       COM    029263100       90,891    27,051   SH         SOLE         1     27,051
AMERICAN SCIENCE & ENGR INC     COM    029429107       18,010       295   SH         DEFINED      2                            295
AMERICAN SCIENCE + ENGINEE      COM    029429107      454,823     7,450   SH         SOLE         1      7,450
AMERICAN SELECT PORTFOLIO IN    COM    029570108       14,445     1,477   SH         DEFINED      2                          1,477
AMERICAN SOFTWARE INC CL A      COM    029683109      120,292    16,592   SH         SOLE         1     16,592
AMERICAN STATES WATER CO        COM    029899101      518,756    15,289   SH         SOLE         1     15,289
AMERICAN STS WTR CO             COM    029899101        1,663        49   SH         DEFINED      3                             49
AMERICAN SUPERCONDUCTOR CO      COM    030111108      128,216    32,625   SH         SOLE         1     32,625
AMERICAN SUPERCONDUCTOR CORP    COM    030111108        9,432     2,400   SH         DEFINED      3                          2,400
AMERICAN SUPERCONDUCTOR CORP    COM    030111108       37,280     9,486   SH         DEFINED      2                          9,486
AMERICAN TOWER CORP             COM    029912201       37,660       700   SH         DEFINED      4                            700
AMERICAN TOWER CORP             COM    029912201      211,219     3,926   SH         DEFINED      3                          3,926
AMERICAN TOWER CORP             COM    029912201       83,928     1,560   SH         DEFINED      2                          1,560
AMERICAN TOWER CORP CL A        COM    029912201    9,481,766   176,241   SH         SOLE         1    176,241
AMERICAN VANGUARD CORP          COM    030371108      205,110    18,379   SH         SOLE         1     18,379
AMERICAN WATER WORKS CO IN      COM    030420103      157,419     5,216   SH         SOLE         1      5,216
AMERICAN WOODMARK CORP          COM    030506109       82,978     6,852   SH         SOLE         1      6,852
AMERICAN WTR WKS CO INC NEW     COM    030420103        7,304       242   SH         DEFINED      3                            242
AMERICAN WTR WKS CO INC NEW     COM    030420103        6,083       202   SH         DEFINED      2                            202
AMERIGAS PARTNERS L P           COM    030975106       77,889     1,771   SH         DEFINED      4                          1,771
AMERIGAS PARTNERS L P           COM    030975106      184,758     4,200   SH         DEFINED      3                          4,200
AMERIGAS PARTNERS L P           COM    030975106       18,168       413   SH         DEFINED      2                            413
AMERIGON INC                    COM    03070L300      206,773    16,243   SH         SOLE         1     16,243
AMERIGROUP CORP                 COM    03073T102    4,751,379   121,799   SH         SOLE         1    121,799
AMERIPRISE FINANCIAL INC        COM    03076C106    4,151,890   105,485   SH         SOLE         1    105,485
AMERIPRISE FINL INC             COM    03076C106          787        20   SH         DEFINED      4                             20
AMERIPRISE FINL INC             COM    03076C106        5,757       146   SH         DEFINED      3                            146
AMERIPRISE FINL INC             COM    03076C106        4,054       103   SH         DEFINED      2                            103
AMERIS BANCORP                  COM    03076K108      151,188    17,358   SH         SOLE         1     17,358
AMERISAFE INC                   COM    03071H100      277,476    15,072   SH         SOLE         1     15,072
AMERISOURCEBERGEN CORP          COM    03073E105    3,529,544    94,702   SH         SOLE         1     94,702
AMERISOURCEBERGEN CORP          COM    03073E105        9,318       250   SH         DEFINED      4                            250
AMERISOURCEBERGEN CORP          COM    03073E105        3,727       100   SH         DEFINED      3                            100
AMERISOURCEBERGEN CORP          COM    03073E105        3,839       103   SH         DEFINED      2                            103
AMERISTAR CASINOS INC           COM    03070Q101      377,721    23,534   SH         SOLE         1     23,534
AMERON INTERNATIONAL CORP       COM    030710107    1,638,747    19,293   SH         SOLE         1     19,293
AMERON INTL INC                 COM    030710107       12,061       142   SH         DEFINED      3                            142
AMES NATIONAL CORP              COM    031001100       94,655     6,056   SH         SOLE         1      6,056






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
AMETEK INC                      COM    031100100   11,620,112   352,445   SH         SOLE         1    352,445
AMETEK INC NEW                  COM    031100100       23,080       700   SH         DEFINED      3                            700
AMETEK INC NEW                  COM    031100100        5,440       165   SH         DEFINED      2                            165
AMGEN INC                       COM    031162100   31,838,030   579,400   SH         SOLE         1    579,400
AMGEN INC                       COM    031162100      115,086     2,094   SH         DEFINED      4                          2,094
AMGEN INC                       COM    031162100      389,092     7,080   SH         DEFINED      3                          7,080
AMGEN INC                       COM    031162100       21,984       400   SH         DEFINED      2                            400
AMICUS THERAPEUTICS INC         COM    03152W109       44,237    11,520   SH         SOLE         1     11,520
AMKOR TECHNOLOGY INC            COM    031652100      336,636    77,210   SH         SOLE         1     77,210
AMN HEALTHCARE SERVICES IN      COM    001744101      130,317    32,498   SH         SOLE         1     32,498
AMPCO PITTSBURGH CORP           COM    032037103      127,281     6,224   SH         SOLE         1      6,224
AMPHENOL CORP CL A              COM    032095101    2,488,234    61,031   SH         SOLE         1     61,031
AMPHENOL CORP NEW               COM    032095101       45,051     1,105   SH         DEFINED      3                          1,105
AMPHENOL CORP NEW               COM    032095101        3,058        75   SH         DEFINED      2                             75
AMPIO PHARMACEUTICALS INC       COM    03209T109       96,279    14,478   SH         SOLE         1     14,478
AMR CORP                        COM    001765106       21,214     7,167   SH         SOLE         1      7,167
AMR CORP                        COM    001765106        2,664       900   SH         DEFINED      4                            900
AMR CORP                        COM    001765106          296       100   SH         DEFINED      3                            100
AMR CORP                        COM    001765106       29,156     9,850   SH         DEFINED      2                          9,850
AMSURG CORP                     COM    03232P405      576,270    25,612   SH         SOLE         1     25,612
AMTECH SYSTEMS INC              COM    032332504       55,944     6,993   SH         SOLE         1      6,993
AMTRUST FINANCIAL SERVICES      COM    032359309      391,754    17,599   SH         SOLE         1     17,599
AMYLIN PHARMACEUTICALS INC      COM    032346108       16,254     1,761   SH         SOLE         1      1,761
AMYRIS INC                      COM    03236M101      260,752    12,883   SH         SOLE         1     12,883
AMYRIS INC                      COM    03236M101        6,075       300   SH         DEFINED      2                            300
ANACOR PHARMACEUTICALS INC      COM    032420101       45,252     7,939   SH         SOLE         1      7,939
ANADARKO PETE CORP              COM    032511107      170,550     2,705   SH         DEFINED      4                          2,705
ANADARKO PETE CORP              COM    032511107      166,263     2,637   SH         DEFINED      3                          2,637
ANADARKO PETE CORP              COM    032511107        8,007       127   SH         DEFINED      2                            127
ANADARKO PETROLEUM CORP         COM    032511107   15,685,516   248,779   SH         SOLE         1    248,779
ANADIGICS INC                   COM    032515108      106,384    49,252   SH         SOLE         1     49,252
ANALOG DEVICES INC              COM    032654105    3,952,781   126,489   SH         SOLE         1    126,489
ANALOGIC CORP                   COM    032657207      466,769    10,279   SH         SOLE         1     10,279
ANALOGIC CORP                   COM    032657207        1,362        30   SH         DEFINED      3                             30
ANAREN INC                      COM    032744104      211,435    11,041   SH         SOLE         1     11,041
ANCESTRY COM INC                COM    032803108        9,400       400   SH         DEFINED      3                            400
ANCESTRY.COM INC                COM    032803108      543,508    23,128   SH         SOLE         1     23,128
ANDERSONS INC                   COM    034164103      100,890     3,000   SH         DEFINED      2                          3,000
ANDERSONS INC/THE               COM    034164103      512,877    15,237   SH         SOLE         1     15,237
ANGIODYNAMICS INC               COM    03475V101      239,700    18,242   SH         SOLE         1     18,242
ANGLOGOLD ASHANTI LTD           COM    035128206       10,671       258   SH         DEFINED      3                            258
ANHEUSER BUSCH INBEV SA/NV      COM    03524A108          848        16   SH         DEFINED      3                             16
ANHEUSER BUSCH INBEV SA/NV      COM    03524A108        9,272       175   SH         DEFINED      2                            175
ANIXTER INTERNATIONAL INC       COM    035290105    1,127,886    23,775   SH         SOLE         1     23,775
ANIXTER INTL INC                COM    035290105        8,207       173   SH         DEFINED      3                            173
ANN INC                         COM    035623107    8,163,450   357,419   SH         SOLE         1    357,419
ANNALY CAP MGMT INC             COM    035710409    1,073,486    64,551   SH         DEFINED      4                         64,551
ANNALY CAP MGMT INC             COM    035710409    2,423,469   145,729   SH         DEFINED      3                        145,729
ANNALY CAP MGMT INC             COM    035710409    1,132,982    68,129   SH         DEFINED      2                         68,129
ANNALY CAPITAL MANAGEMENT       COM    035710409      449,692    27,041   SH         SOLE         1     27,041
ANSYS INC                       COM    03662Q105    9,872,439   201,314   SH         SOLE         1    201,314
ANSYS INC                       COM    03662Q105        2,305        47   SH         DEFINED      2                             47
ANTARES PHARMA INC              COM    036642106      148,591    64,048   SH         SOLE         1     64,048
ANTARES PHARMA INC              COM    036642106        4,640     2,000   SH         DEFINED      3                          2,000
ANTHERA PHARMACEUTICALS IN      COM    03674U102       73,344    15,376   SH         SOLE         1     15,376
ANWORTH MORTGAGE ASSET COR      COM    037347101      628,442    92,418   SH         SOLE         1     92,418
ANWORTH MORTGAGE ASSET CP       COM    037347101        2,380       350   SH         DEFINED      4                            350
ANWORTH MORTGAGE ASSET CP       COM    037347101       22,447     3,301   SH         DEFINED      3                          3,301
AOL INC                         COM    00184X105    2,818,452   234,871   SH         SOLE         1    234,871
AOL INC                         COM    00184X105          684        57   SH         DEFINED      4                             57
AOL INC                         COM    00184X105          528        44   SH         DEFINED      3                             44
AOL INC                         COM    00184X105        1,080        90   SH         DEFINED      2                             90
AON CORP                        COM    037389103    5,960,992   141,996   SH         SOLE         1    141,996
AON CORP                        COM    037389103        5,910       141   SH         DEFINED      3                            141
AON CORP                        COM    037389103        2,015        48   SH         DEFINED      2                             48
APAC CUSTOMER SERVICES INC      COM    00185E106      196,011    23,006   SH         SOLE         1     23,006
APACHE CORP                     COM    037411105   19,248,533   239,887   SH         SOLE         1    239,887
APACHE CORP                     COM    037411105       42,126       525   SH         DEFINED      4                            525
APACHE CORP                     COM    037411105      161,583     2,014   SH         DEFINED      3                          2,014
APACHE CORP                     COM    037411808       71,945     1,406   SH         DEFINED      3                          1,406
APACHE CORP                     COM    037411105       38,368       478   SH         DEFINED      2                            478
APARTMENT INVT + MGMT CO        COM    03748R101      851,797    38,508   SH         SOLE         1     38,508
APCO OIL AND GAS INTL INC       COM    G0471F109      496,009     6,665   SH         SOLE         1      6,665
APOGEE ENTERPRISES INC          COM    037598109      197,613    23,005   SH         SOLE         1     23,005
APOGEE ENTERPRISES INC          COM    037598109       70,268     8,180   SH         DEFINED      2                          8,180
APOLLO COMMERCIAL REAL EST      COM    03762U105      197,774    15,017   SH         SOLE         1     15,017
APOLLO GROUP INC                COM    037604105        9,110       230   SH         DEFINED      3                            230
APOLLO GROUP INC                COM    037604105      190,128     4,800   SH         DEFINED      2                          4,800
APOLLO GROUP INC CL A           COM    037604105    1,809,226    45,676   SH         SOLE         1     45,676
APOLLO INVESTMENT CORP          COM    03761U106    4,277,323   568,793   SH         SOLE         1    568,793
APOLLO INVT CORP                COM    03761U106       38,327     5,100   SH         DEFINED      4                          5,100






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
APOLLO INVT CORP                COM    03761U106    1,588,671   211,400   SH         DEFINED      3                        211,400
APOLLO INVT CORP                COM    03761U106        5,546       738   SH         DEFINED      2                            738
APPLE INC                       COM    037833100  194,746,768   510,905   SH         SOLE         1    510,905
APPLE INC                       COM    037833100    3,331,212     8,736   SH         DEFINED      4                          8,736
APPLE INC                       COM    037833900        3,510         3   SH  C      DEFINED      4                              3
APPLE INC                       COM    037833100    8,151,096    21,376   SH         DEFINED      3                         21,376
APPLE INC                       COM    037833100    5,889,106    15,444   SH         DEFINED      2                         15,444
APPLIED ENERGETICS INC          COM    03819M106           73       350   SH         DEFINED      3                            350
APPLIED INDUSTRIAL TECH IN      COM    03820C105      943,321    34,732   SH         SOLE         1     34,732
APPLIED MATERIALS INC           COM    038222105    6,468,388   624,965   SH         SOLE         1    624,965
APPLIED MATLS INC               COM    038222105       85,574     8,264   SH         DEFINED      4                          8,264
APPLIED MATLS INC               COM    038222105      138,478    13,373   SH         DEFINED      3                         13,373
APPLIED MATLS INC               COM    038222105       28,171     2,721   SH         DEFINED      2                          2,721
APPLIED MICRO CIRCUITS COR      COM    03822W406      248,513    46,278   SH         SOLE         1     46,278
APPROACH RESOURCES INC          COM    03834A103      313,466    18,450   SH         SOLE         1     18,450
APTARGROUP INC                  COM    038336103    6,557,154   146,791   SH         SOLE         1    146,791
AQUA AMERICA INC                COM    03836W103    6,560,451   304,147   SH         SOLE         1    304,147
AQUA AMERICA INC                COM    03836W103      162,616     7,539   SH         DEFINED      3                          7,539
AQUA AMERICA INC                COM    03836W103      104,980     4,867   SH         DEFINED      2                          4,867
ARABIAN AMERN DEV CO            COM    038465100       10,979     3,297   SH         DEFINED      3                          3,297
ARBITRON INC                    COM    03875Q108      735,534    22,235   SH         SOLE         1     22,235
ARBOR RLTY TR INC               COM    038923108        2,646       700   SH         DEFINED      3                            700
ARCELORMITTAL SA LUXEMBOURG     COM    03938L104        4,773       300   SH         DEFINED      3                            300
ARCH CAP GROUP LTD              COM    G0450A105        3,921       120   SH         DEFINED      2                            120
ARCH CAPITAL GROUP LTD          COM    G0450A105      130,373     3,990   SH         SOLE         1      3,990
ARCH CHEMICALS INC              COM    03937R102      889,509    18,958   SH         SOLE         1     18,958
ARCH COAL INC                   COM    039380100    6,824,111   468,046   SH         SOLE         1    468,046
ARCH COAL INC                   COM    039380100      199,804    13,704   SH         DEFINED      3                         13,704
ARCH COAL INC                   COM    039380100        8,748       600   SH         DEFINED      2                            600
ARCHER DANIELS MIDLAND CO       COM    039483102    5,069,948   204,351   SH         SOLE         1    204,351
ARCHER DANIELS MIDLAND CO       COM    039483102        7,443       300   SH         DEFINED      4                            300
ARCHER DANIELS MIDLAND CO       COM    039483102      197,041     7,942   SH         DEFINED      3                          7,942
ARCHER DANIELS MIDLAND CO       COM    039483102       94,269     3,800   SH         DEFINED      2                          3,800
ARCHIPELAGO LEARNING INC        COM    03956P102       80,128     9,539   SH         SOLE         1      9,539
ARCOS DORADOS HOLDINGS INC      COM    G0457F907        1,150         5   SH  C      DEFINED      4                              5
ARCOS DORADOS HOLDINGS INC      COM    G0457F107       40,861     1,762   SH         DEFINED      2                          1,762
ARCTIC CAT INC                  COM    039670104      144,089     9,944   SH         SOLE         1      9,944
ARDEA BIOSCIENCES INC           COM    03969P107      191,361    12,251   SH         SOLE         1     12,251
ARDEN GROUP INC A               COM    039762109       65,985       830   SH         SOLE         1        830
ARENA PHARMACEUTICALS INC       COM    040047102      154,511   106,559   SH         SOLE         1    106,559
ARENA PHARMACEUTICALS INC       COM    040047102      268,589   186,520   SH         DEFINED      3                        186,520
ARENA PHARMACEUTICALS INC       COM    040047102        4,248     2,950   SH         DEFINED      2                          2,950
ARES CAP CORP                   COM    04010L103      107,819     7,830   SH         DEFINED      4                          7,830
ARES CAP CORP                   COM    04010L103      196,250    14,252   SH         DEFINED      3                         14,252
ARES CAP CORP                   COM    04010L103      115,393     8,380   SH         DEFINED      2                          8,380
ARES CAPITAL CORP               COM    04010L103       89,092     6,470   SH         SOLE         1      6,470
ARGAN INC                       COM    04010E109       58,555     5,752   SH         SOLE         1      5,752
ARGO GROUP INTERNATIONAL        COM    G0464B107      568,677    20,045   SH         SOLE         1     20,045
ARIAD PHARMACEUTICALS INC       COM    04033A100      847,418    96,407   SH         SOLE         1     96,407
ARIBA INC                       COM    04033V203    5,806,935   209,561   SH         SOLE         1    209,561
ARIBA INC                       COM    04033V203       27,710     1,000   SH         DEFINED      4                          1,000
ARIBA INC                       COM    04033V203          443        16   SH         DEFINED      3                             16
ARKANSAS BEST CORP              COM    040790107      336,340    20,826   SH         SOLE         1     20,826
ARLINGTON ASSET INVESTMENT      COM    041356205      113,011     4,699   SH         SOLE         1      4,699
ARM HLDGS PLC                   COM    042068106        1,785        70   SH         DEFINED      4                             70
ARM HLDGS PLC                   COM    042068106      404,175    15,850   SH         DEFINED      3                         15,850
ARM HLDGS PLC                   COM    042068106       74,205     2,910   SH         DEFINED      2                          2,910
ARMOUR RESIDENTIAL REIT IN      COM    042315101      380,270    55,922   SH         SOLE         1     55,922
ARMOUR RESIDENTIAL REIT INC     COM    042315101        1,360       200   SH         DEFINED      4                            200
ARMOUR RESIDENTIAL REIT INC     COM    042315101        1,360       200   SH         DEFINED      3                            200
ARMOUR RESIDENTIAL REIT INC     COM    042315101        6,800     1,000   SH         DEFINED      2                          1,000
ARMSTRONG WORLD INDS INC NEW    COM    04247X102       86,100     2,500   SH         DEFINED      2                          2,500
ARMSTRONG WORLD INDUSTRIES      COM    04247X102       19,183       557   SH         SOLE         1        557
AROTECH CORP                    COM    042682203          107        71   SH         DEFINED      2                             71
ARQULE INC                      COM    04269E107      220,983    43,759   SH         SOLE         1     43,759
ARRAY BIOPHARMA INC             COM    04269X105       81,628    41,647   SH         SOLE         1     41,647
ARRAY BIOPHARMA INC             COM    04269X105          341       175   SH         DEFINED      3                            175
ARRIS GROUP INC                 COM    04269Q100    1,040,290   100,999   SH         SOLE         1    100,999
ARROW ELECTRONICS INC           COM    042735100    7,013,255   252,457   SH         SOLE         1    252,457
ARROW ELECTRS INC               COM    042735100      374,085    13,466   SH         DEFINED      3                         13,466
ARROW FINANCIAL CORP            COM    042744102      164,731     7,404   SH         SOLE         1      7,404
ARTESIAN RESOURCES CORP CL      COM    043113208       83,155     4,749   SH         SOLE         1      4,749
ARTHROCARE CORP                 COM    043136100      573,904    19,948   SH         SOLE         1     19,948
ARTHUR J GALLAGHER + CO         COM    363576109    6,505,384   247,353   SH         SOLE         1    247,353
ARTIO GLOBAL INVESTORS INC      COM    04315B107      181,870    22,848   SH         SOLE         1     22,848
ARTS WAY MFG INC                COM    043168103        1,151       204   SH         DEFINED      3                            204
ARUBA NETWORKS INC              COM    043176106    1,828,161    87,430   SH         SOLE         1     87,430
ARUBA NETWORKS INC              COM    043176106       73,520     3,516   SH         DEFINED      3                          3,516
ARUBA NETWORKS INC              COM    043176106       25,092     1,200   SH         DEFINED      2                          1,200
ASA GOLD AND PRECIOUS MTLS L    COM    G3156P103        4,858       180   SH         DEFINED      4                            180
ASBURY AUTOMOTIVE GROUP         COM    043436104      351,583    21,321   SH         SOLE         1     21,321






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ASCENA RETAIL GROUP INC         COM    04351G101    5,272,586   194,776   SH         SOLE         1    194,776
ASCENA RETAIL GROUP INC         COM    04351G101       18,056       667   SH         DEFINED      4                            667
ASCENT CAP GROUP INC            COM    043632108          275         7   SH         DEFINED      2                              7
ASCENT CAPITAL GROUP INC        COM    043632108      413,489    10,516   SH         SOLE         1     10,516
ASHFORD HOSPITALITY TR INC      COM    044103109       10,530     1,500   SH         DEFINED      4                          1,500
ASHFORD HOSPITALITY TRUST       COM    044103109      267,595    38,119   SH         SOLE         1     38,119
ASHLAND INC                     COM    044209104    8,144,404   184,513   SH         SOLE         1    184,513
ASHLAND INC NEW                 COM    044209104        4,414       100   SH         DEFINED      2                            100
ASPEN INSURANCE HOLDINGS L      COM    G05384105    3,581,960   155,467   SH         SOLE         1    155,467
ASPEN INSURANCE HOLDINGS LTD    COM    G05384105        5,117       222   SH         DEFINED      3                            222
ASPEN TECHNOLOGY INC            COM    045327103    8,769,500   574,296   SH         SOLE         1    574,296
ASSISTED LIVING CONCEPTS I      COM    04544X300      180,801    14,270   SH         SOLE         1     14,270
ASSOCIATED BANC CORP            COM    045487105    3,539,729   380,616   SH         SOLE         1    380,616
ASSOCIATED ESTATES REALTY       COM    045604105      468,082    30,277   SH         SOLE         1     30,277
ASSOCIATED ESTATES RLTY CORP    COM    045604105       98,758     6,388   SH         DEFINED      3                          6,388
ASSURANT INC                    COM    04621X108    1,128,165    31,513   SH         SOLE         1     31,513
ASSURED GUARANTY LTD            COM    G0585R106       56,467     5,138   SH         SOLE         1      5,138
ASSURED GUARANTY LTD            COM    G0585R106       36,937     3,361   SH         DEFINED      2                          3,361
ASTEC INDUSTRIES INC            COM    046224101      478,289    16,335   SH         SOLE         1     16,335
ASTEX PHARMACEUTICALS           COM    04624B103       79,077    41,186   SH         SOLE         1     41,186
ASTORIA FINANCIAL CORP          COM    046265104    1,884,980   245,121   SH         SOLE         1    245,121
ASTRAZENECA PLC                 COM    046353108      147,578     3,327   SH         DEFINED      3                          3,327
ASTRAZENECA PLC                 COM    046353108        5,101       115   SH         DEFINED      2                            115
ASTRONICS CORP                  COM    046433108      192,806     6,825   SH         SOLE         1      6,825
ASTRONICS CORP                  COM    046433108       37,968     1,344   SH         DEFINED      3                          1,344
ASTROTECH CORP                  COM    046484101        2,440     4,000   SH         DEFINED      2                          4,000
AT CROSS CO CL A                COM    227478104       78,858     6,991   SH         SOLE         1      6,991
AT&T INC                        COM    00206R102    2,256,098    79,106   SH         DEFINED      4                         79,106
AT&T INC                        COM    00206R102    5,184,933   181,800   SH         DEFINED      3                        181,800
AT&T INC                        COM    00206R102    2,229,462    78,172   SH         DEFINED      2                         78,172
AT+T INC                        COM    00206R102   89,871,482 3,151,174   SH         SOLE         1  3,151,174
ATA INC                         COM    00211V106       18,000     2,000   SH         DEFINED      4                          2,000
ATHENAHEALTH INC                COM    04685W103    1,516,679    25,469   SH         SOLE         1     25,469
ATHENAHEALTH INC                COM    04685W103       14,888       250   SH         DEFINED      3                            250
ATHENAHEALTH INC                COM    04685W103      177,102     2,974   SH         DEFINED      2                          2,974
ATLANTIC AMERN CORP             COM    048209100          352       185   SH         DEFINED      2                            185
ATLANTIC POWER CORP             COM    04878Q863      710,280    50,055   SH         SOLE         1     50,055
ATLANTIC PWR CORP               COM    04878Q863      403,706    28,450   SH         DEFINED      4                         28,450
ATLANTIC PWR CORP               COM    04878Q863    1,475,760   104,000   SH         DEFINED      3                        104,000
ATLANTIC PWR CORP               COM    04878Q863      133,239     9,390   SH         DEFINED      2                          9,390
ATLANTIC TELE NETWORK INC       COM    049079205      252,124     7,668   SH         SOLE         1      7,668
ATLAS AIR WORLDWIDE HOLDIN      COM    049164205    3,260,090    97,930   SH         SOLE         1     97,930
ATLAS ENERGY LP                 COM    04930A104      120,705     6,500   SH         DEFINED      3                          6,500
ATLAS ENERGY LP                 COM    04930A104       11,235       605   SH         DEFINED      2                            605
ATLAS PIPELINE PARTNERS LP      COM    049392103      138,974     4,653   SH         DEFINED      4                          4,653
ATLAS PIPELINE PARTNERS LP      COM    049392103      108,428     3,630   SH         DEFINED      3                          3,630
ATLAS PIPELINE PARTNERS LP      COM    049392103      228,834     7,661   SH         DEFINED      2                          7,661
ATMEL CORP                      COM    049513104    8,541,344 1,058,407   SH         SOLE         1  1,058,407
ATMEL CORP                      COM    049513104       76,504     9,480   SH         DEFINED      3                          9,480
ATMEL CORP                      COM    049513104       11,298     1,400   SH         DEFINED      2                          1,400
ATMI INC                        COM    00207R101      410,165    25,927   SH         SOLE         1     25,927
ATMOS ENERGY CORP               COM    049560105    6,442,818   198,546   SH         SOLE         1    198,546
ATMOS ENERGY CORP               COM    049560105          909        28   SH         DEFINED      4                             28
ATMOS ENERGY CORP               COM    049560105       89,444     2,756   SH         DEFINED      3                          2,756
ATP OIL & GAS CORP              COM    00208J108       34,695     4,500   SH         DEFINED      3                          4,500
ATP OIL & GAS CORP              COM    00208J108       69,390     9,000   SH         DEFINED      2                          9,000
ATP OIL + GAS CORPORATION       COM    00208J108      250,698    32,516   SH         SOLE         1     32,516
ATRICURE INC                    COM    04963C209       99,923    10,259   SH         SOLE         1     10,259
ATRION CORPORATION              COM    049904105      238,706     1,151   SH         SOLE         1      1,151
ATWOOD OCEANICS INC             COM    050095108    4,252,256   123,756   SH         SOLE         1    123,756
ATWOOD OCEANICS INC             COM    050095108       17,180       500   SH         DEFINED      4                            500
AU OPTRONICS CORP               COM    002255107           12         3   SH         DEFINED      2                              3
AUDIOVOX CORP A                 COM    050757103       81,499    14,845   SH         SOLE         1     14,845
AURICO GOLD INC                 COM    05155C105       16,431     1,748   SH         DEFINED      3                          1,748
AUTODESK INC                    COM    052769106    3,233,592   116,400   SH         SOLE         1    116,400
AUTODESK INC                    COM    052769106        3,168       114   SH         DEFINED      4                            114
AUTODESK INC                    COM    052769106        8,337       300   SH         DEFINED      3                            300
AUTOLIV INC                     COM    052800109      858,062    17,692   SH         SOLE         1     17,692
AUTOMATIC DATA PROCESSING       COM    053015103   12,232,266   259,433   SH         SOLE         1    259,433
AUTOMATIC DATA PROCESSING IN    COM    053015103      218,961     4,644   SH         DEFINED      4                          4,644
AUTOMATIC DATA PROCESSING IN    COM    053015103      329,579     6,990   SH         DEFINED      3                          6,990
AUTOMATIC DATA PROCESSING IN    COM    053015103      152,802     3,241   SH         DEFINED      2                          3,241
AUTONATION INC                  COM    05329W102      520,350    15,874   SH         SOLE         1     15,874
AUTOZONE INC                    COM    053332102    2,919,312     9,146   SH         SOLE         1      9,146
AUTOZONE INC                    COM    053332902        4,650         5   SH  C      DEFINED      4                              5
AUTOZONE INC                    COM    053332102       16,917        53   SH         DEFINED      3                             53
AUTOZONE INC                    COM    053332102        1,277         4   SH         DEFINED      2                              4
AUXILIUM PHARMACEUTICALS I      COM    05334D107      523,781    34,942   SH         SOLE         1     34,942
AUXILIUM PHARMACEUTICALS INC    COM    05334D107       10,493       700   SH         DEFINED      4                            700
AVAGO TECHNOLOGIES LTD          COM    Y0486S104    2,438,973    74,427   SH         SOLE         1     74,427
AVALON RARE METALS INC          COM    053470100        6,182     2,298   SH         DEFINED      3                          2,298






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
AVALONBAY CMNTYS INC            COM    053484101        2,281        20   SH         DEFINED      4                             20
AVALONBAY COMMUNITIES INC       COM    053484101    3,531,900    30,968   SH         SOLE         1     30,968
AVANIR PHARMACEUTICALS INC      COM    05348P401      259,222    90,637   SH         SOLE         1     90,637
AVANIR PHARMACEUTICALS INC      COM    05348P401          357       125   SH         DEFINED      4                            125
AVANIR PHARMACEUTICALS INC      COM    05348P401       38,682    13,549   SH         DEFINED      3                         13,549
AVATAR HOLDINGS INC             COM    053494100       53,334     6,520   SH         SOLE         1      6,520
AVEO PHARMACEUTICALS INC        COM    053588109      352,200    22,885   SH         SOLE         1     22,885
AVEO PHARMACEUTICALS INC        COM    053588109       10,650       692   SH         DEFINED      4                            692
AVERY DENNISON CORP             COM    053611109      883,318    35,220   SH         SOLE         1     35,220
AVI BIOPHARMA INC               COM    002346104      110,897    99,015   SH         SOLE         1     99,015
AVI BIOPHARMA INC               COM    002346104          560       500   SH         DEFINED      2                            500
AVIAT NETWORKS INC              COM    05366Y102      104,039    44,272   SH         SOLE         1     44,272
AVIAT NETWORKS INC              COM    05366Y102        9,400     4,000   SH         DEFINED      2                          4,000
AVID TECHNOLOGY INC             COM    05367P100      187,602    24,238   SH         SOLE         1     24,238
AVIS BUDGET GROUP               COM    053774105           48         5   SH         DEFINED      4                              5
AVIS BUDGET GROUP               COM    053774105          377        39   SH         DEFINED      3                             39
AVIS BUDGET GROUP               COM    053774105       19,340     2,000   SH         DEFINED      2                          2,000
AVIS BUDGET GROUP INC           COM    053774105      741,496    76,680   SH         SOLE         1     76,680
AVISTA CORP                     COM    05379B107    1,126,698    47,241   SH         SOLE         1     47,241
AVISTA CORP                     COM    05379B107        3,959       166   SH         DEFINED      3                            166
AVISTA CORP                     COM    05379B107        4,269       179   SH         DEFINED      2                            179
AVNET INC                       COM    053807103    8,758,968   335,850   SH         SOLE         1    335,850
AVNET INC                       COM    053807103        2,608       100   SH         DEFINED      4                            100
AVNET INC                       COM    053807103      453,114    17,374   SH         DEFINED      3                         17,374
AVON PRODS INC                  COM    054303102        3,352       171   SH         DEFINED      3                            171
AVON PRODUCTS INC               COM    054303102    2,656,702   135,546   SH         SOLE         1    135,546
AVX CORP                        COM    002444107       15,882     1,338   SH         SOLE         1      1,338
AVX CORP NEW                    COM    002444107       11,870     1,000   SH         DEFINED      2                          1,000
AXCELIS TECHNOLOGIES INC        COM    054540109       92,989    77,491   SH         SOLE         1     77,491
AXCELIS TECHNOLOGIES INC        COM    054540109        1,200     1,000   SH         DEFINED      4                          1,000
AXCELIS TECHNOLOGIES INC        COM    054540109          264       220   SH         DEFINED      2                            220
AXIS CAPITAL HOLDINGS           COM    G0692U109        6,096       235   SH         DEFINED      4                            235
AXIS CAPITAL HOLDINGS           COM    G0692U109          597        23   SH         DEFINED      3                             23
AXIS CAPITAL HOLDINGS LTD       COM    G0692U109      103,656     3,996   SH         SOLE         1      3,996
AXT INC                         COM    00246W103      117,699    23,353   SH         SOLE         1     23,353
AZZ INC                         COM    002474104      398,401    10,276   SH         SOLE         1     10,276
B & G FOODS INC NEW             COM    05508R106       47,538     2,850   SH         DEFINED      4                          2,850
B & G FOODS INC NEW             COM    05508R106       49,873     2,990   SH         DEFINED      3                          2,990
B & G FOODS INC NEW             COM    05508R106       87,820     5,265   SH         DEFINED      2                          5,265
B+G FOODS INC                   COM    05508R106    8,607,164   516,017   SH         SOLE         1    516,017
BABCOCK & WILCOX CO NEW         COM    05615F102           78         4   SH         DEFINED      3                              4
BABCOCK + WILCOX CO/THE         COM    05615F102       31,964     1,635   SH         SOLE         1      1,635
BACTERIN INTERNATIONAL HOL      COM    05644R101       32,594    16,297   SH         SOLE         1     16,297
BADGER METER INC                COM    056525108      356,909    12,337   SH         SOLE         1     12,337
BADGER METER INC                COM    056525108        2,893       100   SH         DEFINED      3                            100
BAIDU INC                       COM    056752108      213,820     2,000   SH         DEFINED      4                          2,000
BAIDU INC                       COM    056752108      210,506     1,969   SH         DEFINED      3                          1,969
BAIDU INC                       COM    056752108       74,409       696   SH         DEFINED      2                            696
BAIDU INC   SPON ADR            COM    056752108    7,981,152    74,653   SH         SOLE         1     74,653
BAKER HUGHES INC                COM    057224107    7,776,944   168,478   SH         SOLE         1    168,478
BAKER HUGHES INC                COM    057224107        7,615       165   SH         DEFINED      4                            165
BAKER HUGHES INC                COM    057224107       55,380     1,200   SH         DEFINED      3                          1,200
BALCHEM CORP                    COM    057665200      882,195    23,645   SH         SOLE         1     23,645
BALCHEM CORP                    COM    057665200        5,597       150   SH         DEFINED      3                            150
BALDWIN & LYONS INC             COM    057755100        6,933       300   SH         DEFINED      2                            300
BALDWIN & LYONS INC             COM    057755209       25,858     1,210   SH         DEFINED      2                          1,210
BALDWIN + LYONS INC  CL B       COM    057755209      130,528     6,108   SH         SOLE         1      6,108
BALL CORP                       COM    058498106    2,061,062    66,443   SH         SOLE         1     66,443
BALL CORP                       COM    058498106       81,086     2,614   SH         DEFINED      4                          2,614
BALL CORP                       COM    058498106        1,241        40   SH         DEFINED      3                             40
BALLARD PWR SYS INC NEW         COM    058586108          242       200   SH         DEFINED      4                            200
BALLARD PWR SYS INC NEW         COM    058586108          980       810   SH         DEFINED      3                            810
BALLY TECHNOLOGIES INC          COM    05874B107    2,609,667    96,726   SH         SOLE         1     96,726
BALLY TECHNOLOGIES INC          COM    05874B107        1,214        45   SH         DEFINED      2                             45
BALTIC TRADING LIMITED          COM    Y0553W103       31,943     6,869   SH         DEFINED      2                          6,869
BALTIC TRADING LTD              COM    Y0553W103       55,372    11,908   SH         SOLE         1     11,908
BANCFIRST CORP                  COM    05945F103      162,882     4,912   SH         SOLE         1      4,912
BANCO BILBAO VIZCAYA ARGENTA    COM    05946K101       14,585     1,794   SH         DEFINED      2                          1,794
BANCO BRADESCO S A              COM    059460303        5,369       363   SH         DEFINED      4                            363
BANCO BRADESCO S A              COM    059460303       32,488     2,197   SH         DEFINED      3                          2,197
BANCO BRADESCO S A              COM    059460303       36,679     2,480   SH         DEFINED      2                          2,480
BANCO LATINOAMERICANO COME      COM    P16994132      309,535    20,324   SH         SOLE         1     20,324
BANCO SANTANDER BRASIL S A      COM    05967A107       21,250     2,903   SH         DEFINED      3                          2,903
BANCO SANTANDER CHILE NEW       COM    05965X109       16,974       231   SH         DEFINED      4                            231
BANCO SANTANDER SA              COM    05964H105        8,563     1,065   SH         DEFINED      4                          1,065
BANCO SANTANDER SA              COM    05964H105        5,194       646   SH         DEFINED      3                            646
BANCO SANTANDER SA              COM    05964H105       57,177     7,112   SH         DEFINED      2                          7,112
BANCORP INC/THE                 COM    05969A105      152,938    21,360   SH         SOLE         1     21,360
BANCORP RHODE ISLAND INC        COM    059690107      115,131     2,716   SH         SOLE         1      2,716
BANCORPSOUTH INC                COM    059692103    1,917,359   218,378   SH         SOLE         1    218,378
BANK HAWAII CORP                COM    062540109       18,200       500   SH         DEFINED      3                            500






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
BANK MONTREAL QUE               COM    063671101       11,170       200   SH         DEFINED      4                            200
BANK MONTREAL QUE               COM    063671101       61,156     1,095   SH         DEFINED      2                          1,095
BANK MUTUAL CORP                COM    063750103       98,387    37,696   SH         SOLE         1     37,696
BANK NOVA SCOTIA HALIFAX        COM    064149107      102,808     2,050   SH         DEFINED      3                          2,050
BANK OF AMERICA CORP            COM    060505104   24,716,868 4,038,704   SH         SOLE         1  4,038,704
BANK OF AMERICA CORPORATION     COM    060505104      212,948    34,795   SH         DEFINED      4                         34,795
BANK OF AMERICA CORPORATION     COM    060505904        3,080        40   SH  C      DEFINED      4                             40
BANK OF AMERICA CORPORATION     COM    060505104      915,640   149,614   SH         DEFINED      3                        149,614
BANK OF AMERICA CORPORATION     COM    060505682       19,125        25   SH         DEFINED      3                             25
BANK OF AMERICA CORPORATION     COM    060505104      593,033    96,901   SH         DEFINED      2                         96,901
BANK OF AMERICA CORPORATION     COM    060505682      393,210       514   SH         DEFINED      2                            514
BANK OF AMERICA CORPORATION     COM    060505954           60        60   SH  P      DEFINED      2                             60
BANK OF HAWAII CORP             COM    062540109    3,764,670   103,425   SH         SOLE         1    103,425
BANK OF KENTUCKY FINL CORP      COM    062896105       85,214     4,206   SH         SOLE         1      4,206
BANK OF MARIN BANCORP           COM    063425102       10,738       325   SH         DEFINED      4                            325
BANK OF MARIN BANCORP/CA        COM    063425102      128,393     3,886   SH         SOLE         1      3,886
BANK OF NEW YORK MELLON CO      COM    064058100    8,549,838   459,916   SH         SOLE         1    459,916
BANK OF NEW YORK MELLON CORP    COM    064058100      134,090     7,213   SH         DEFINED      4                          7,213
BANK OF NEW YORK MELLON CORP    COM    064058100       62,200     3,346   SH         DEFINED      3                          3,346
BANK OF NEW YORK MELLON CORP    COM    064058100       88,483     4,760   SH         DEFINED      2                          4,760
BANK OF THE OZARKS              COM    063904106      481,976    23,028   SH         SOLE         1     23,028
BANK OF THE OZARKS INC          COM    063904106      119,531     5,711   SH         DEFINED      3                          5,711
BANKATLANTIC BANCORP            COM    065908600        3,287     5,320   SH         DEFINED      3                          5,320
BANKATLANTIC BANCORP            COM    065908600        8,031    13,000   SH         DEFINED      2                         13,000
BANKFINANCIAL CORP              COM    06643P104      102,196    15,391   SH         SOLE         1     15,391
BANKUNITED INC                  COM    06652K103    3,633,602   175,029   SH         SOLE         1    175,029
BANNER CORPORATION              COM    06652V208      154,426    12,074   SH         SOLE         1     12,074
BAR HBR BANKSHARES              COM    066849100       70,000     2,500   SH         DEFINED      2                          2,500
BARCLAYS BANK PLC               COM    06739H206       65,077     1,251   SH         DEFINED      4                          1,251
BARCLAYS BANK PLC               COM    06739H305       72,263     1,688   SH         DEFINED      4                          1,688
BARCLAYS BANK PLC               COM    06739H248       64,421       728   SH         DEFINED      4                            728
BARCLAYS BANK PLC               COM    06739H255        5,761       164   SH         DEFINED      4                            164
BARCLAYS BANK PLC               COM    06739H750        2,722       145   SH         DEFINED      4                            145
BARCLAYS BANK PLC               COM    06739H776       31,710     1,500   SH         DEFINED      4                          1,500
BARCLAYS BANK PLC               COM    06739H206        5,202       100   SH         DEFINED      3                            100
BARCLAYS BANK PLC               COM    06739H214       24,664       278   SH         DEFINED      3                            278
BARCLAYS BANK PLC               COM    06739H305        5,052       118   SH         DEFINED      3                            118
BARCLAYS BANK PLC               COM    06739H743      107,103     3,435   SH         DEFINED      3                          3,435
BARCLAYS BANK PLC               COM    06739H248       23,007       260   SH         DEFINED      3                            260
BARCLAYS BANK PLC               COM    06739H255          843        24   SH         DEFINED      3                             24
BARCLAYS BANK PLC               COM    06739H362       13,866       600   SH         DEFINED      3                            600
BARCLAYS BANK PLC               COM    06739H776        8,456       400   SH         DEFINED      3                            400
BARCLAYS BANK PLC               COM    06739H214       13,219       149   SH         DEFINED      2                            149
BARCLAYS BANK PLC               COM    06739H230       19,653       270   SH         DEFINED      2                            270
BARCLAYS BANK PLC               COM    06739H271       14,639       238   SH         DEFINED      2                            238
BARCLAYS BANK PLC               COM    06739H305       28,897       675   SH         DEFINED      2                            675
BARCLAYS BANK PLC               COM    06739H248       12,300       139   SH         DEFINED      2                            139
BARCLAYS BANK PLC               COM    06739H263        6,694       137   SH         DEFINED      2                            137
BARCLAYS BANK PLC               COM    06739H362       52,367     2,266   SH         DEFINED      2                          2,266
BARCLAYS BANK PLC               COM    06739H776       21,140     1,000   SH         DEFINED      2                          1,000
BARCLAYS BK PLC                 COM    06738C778      623,262    14,932   SH         DEFINED      4                         14,932
BARCLAYS BK PLC                 COM    06740C261       11,314       212   SH         DEFINED      4                            212
BARCLAYS BK PLC                 COM    06738C794       25,730       845   SH         DEFINED      4                            845
BARCLAYS BK PLC                 COM    06738C778      118,876     2,848   SH         DEFINED      3                          2,848
BARCLAYS BK PLC                 COM    06738C786        2,460       124   SH         DEFINED      3                            124
BARCLAYS BK PLC                 COM    06739F101       64,537     1,605   SH         DEFINED      3                          1,605
BARCLAYS BK PLC                 COM    06739F291        3,284        61   SH         DEFINED      3                             61
BARCLAYS BK PLC                 COM    06740C261      142,231     2,665   SH         DEFINED      3                          2,665
BARCLAYS BK PLC                 COM    06739F135      269,528     6,255   SH         DEFINED      3                          6,255
BARCLAYS BK PLC                 COM    06740L485          399         7   SH         DEFINED      3                              7
BARCLAYS BK PLC                 COM    06738C778       35,771       857   SH         DEFINED      2                            857
BARCLAYS BK PLC                 COM    06738C786        3,968       200   SH         DEFINED      2                            200
BARCLAYS BK PLC                 COM    06739F101        6,112       152   SH         DEFINED      2                            152
BARCLAYS BK PLC                 COM    06739F291       13,458       250   SH         DEFINED      2                            250
BARCLAYS BK PLC                 COM    06740C261    1,045,412    19,588   SH         DEFINED      2                         19,588
BARCLAYS BK PLC                 COM    06739F390       22,483     1,150   SH         DEFINED      2                          1,150
BARCLAYS BK PLC                 COM    06740L485        5,705       100   SH         DEFINED      2                            100
BARCLAYS BK PLC                 COM    06740P270        4,176       100   SH         DEFINED      2                            100
BARCLAYS PLC                    COM    06738E204        6,846       700   SH         DEFINED      3                            700
BARD C R INC                    COM    067383109        1,226        14   SH         DEFINED      3                             14
BARD C R INC                    COM    067383109      221,564     2,531   SH         DEFINED      2                          2,531
BARNES & NOBLE INC              COM    067774109          630        53   SH         DEFINED      2                             53
BARNES + NOBLE INC              COM    067774109    1,300,235   109,910   SH         SOLE         1    109,910
BARNES GROUP INC                COM    067806109      847,462    44,024   SH         SOLE         1     44,024
BARRETT BILL CORP               COM    06846N104        7,248       200   SH         DEFINED      2                            200
BARRETT BUSINESS SVCS INC       COM    068463108       77,479     5,558   SH         SOLE         1      5,558
BARRICK GOLD CORP               COM    067901108       48,355     1,037   SH         DEFINED      4                          1,037
BARRICK GOLD CORP               COM    067901958          284         1   SH  P      DEFINED      4                              1
BARRICK GOLD CORP               COM    067901108      357,899     7,672   SH         DEFINED      3                          7,672
BARRICK GOLD CORP               COM    067901908        2,620        10   SH  C      DEFINED      3                             10
BARRICK GOLD CORP               COM    067901108      553,316    11,861   SH         DEFINED      2                         11,861






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
BARRY (R.G.)                    COM    068798107       66,526     6,276   SH         SOLE         1      6,276
BASIC ENERGY SERVICES INC       COM    06985P100      286,032    20,200   SH         SOLE         1     20,200
BAXTER INTERNATIONAL INC        COM    071813109    9,592,810   170,873   SH         SOLE         1    170,873
BAXTER INTL INC                 COM    071813109      205,865     3,667   SH         DEFINED      4                          3,667
BAXTER INTL INC                 COM    071813109       56,140     1,000   SH         DEFINED      3                          1,000
BAYTEX ENERGY CORP              COM    07317Q105        4,167       100   SH         DEFINED      4                            100
BB&T CORP                       COM    054937107        3,957       186   SH         DEFINED      3                            186
BB&T CORP                       COM    054937107       84,168     3,946   SH         DEFINED      2                          3,946
BB+T CORP                       COM    054937107    7,734,386   362,606   SH         SOLE         1    362,606
BCE INC                         COM    05534B760       84,285     2,250   SH         DEFINED      4                          2,250
BCE INC                         COM    05534B760        8,279       221   SH         DEFINED      2                            221
BE AEROSPACE INC                COM    073302101   19,690,550   594,701   SH         SOLE         1    594,701
BE AEROSPACE INC                COM    073302101       10,165       307   SH         DEFINED      3                            307
BEACON POWER CORP               COM    073677205        2,091     4,100   SH         DEFINED      3                          4,100
BEACON ROOFING SUPPLY INC       COM    073685109      536,896    33,577   SH         SOLE         1     33,577
BEAZER HOMES USA INC            COM    07556Q105       84,027    55,647   SH         SOLE         1     55,647
BEBE STORES INC                 COM    075571109      188,556    28,059   SH         SOLE         1     28,059
BECTON DICKINSON & CO           COM    075887109       21,996       300   SH         DEFINED      4                            300
BECTON DICKINSON & CO           COM    075887109      133,369     1,819   SH         DEFINED      3                          1,819
BECTON DICKINSON AND CO         COM    075887109    4,794,175    65,387   SH         SOLE         1     65,387
BED BATH & BEYOND INC           COM    075896100        1,433        25   SH         DEFINED      4                             25
BED BATH & BEYOND INC           COM    075896100      405,869     7,082   SH         DEFINED      3                          7,082
BED BATH & BEYOND INC           COM    075896100      222,420     3,881   SH         DEFINED      2                          3,881
BED BATH + BEYOND INC           COM    075896100    6,392,415   111,541   SH         SOLE         1    111,541
BEL FUSE INC CL B               COM    077347300      133,793     8,582   SH         SOLE         1      8,582
BELDEN INC                      COM    077454106    1,001,065    38,816   SH         SOLE         1     38,816
BELO CORPORATION A              COM    080555105      330,691    67,626   SH         SOLE         1     67,626
BEMIS COMPANY                   COM    081437105    1,013,159    34,567   SH         SOLE         1     34,567
BENCHMARK ELECTRONICS INC       COM    08160H101      645,803    49,639   SH         SOLE         1     49,639
BENEFICIAL MUTUAL BANCORP       COM    08173R104      180,953    24,289   SH         SOLE         1     24,289
BENIHANA INC   CLASS A          COM    082047200       83,767     9,729   SH         SOLE         1      9,729
BERKLEY W R CORP                COM    084423102       32,659     1,100   SH         DEFINED      4                          1,100
BERKLEY W R CORP                COM    084423102        5,966       201   SH         DEFINED      2                            201
BERKSHIRE HATHAWAY INC CL       COM    084670702   37,782,127   531,843   SH         SOLE         1    531,843
BERKSHIRE HATHAWAY INC DEL      COM    084670702      976,019    13,739   SH         DEFINED      4                         13,739
BERKSHIRE HATHAWAY INC DEL      COM    084670108      213,600         2   SH         DEFINED      4                              2
BERKSHIRE HATHAWAY INC DEL      COM    084670702    1,465,555    20,630   SH         DEFINED      3                         20,630
BERKSHIRE HATHAWAY INC DEL      COM    084670108      106,800         1   SH         DEFINED      3                              1
BERKSHIRE HATHAWAY INC DEL      COM    084670702    1,139,837    16,045   SH         DEFINED      2                         16,045
BERKSHIRE HATHAWAY INC DEL      COM    084670108      106,800         1   SH         DEFINED      2                              1
BERKSHIRE HILLS BANCORP IN      COM    084680107      279,710    15,144   SH         SOLE         1     15,144
BERRY PETE CO                   COM    085789105        2,618        74   SH         DEFINED      2                             74
BERRY PETROLEUM CO CLASS A      COM    085789105    1,331,845    37,644   SH         SOLE         1     37,644
BEST BUY CO INC                 COM    086516101    2,347,265   100,741   SH         SOLE         1    100,741
BEST BUY INC                    COM    086516101       49,629     2,130   SH         DEFINED      4                          2,130
BEST BUY INC                    COM    086516101        2,330       100   SH         DEFINED      3                            100
BEST BUY INC                    COM    086516101        5,872       252   SH         DEFINED      2                            252
BG MEDICINE INC                 COM    08861T107       19,912     5,609   SH         SOLE         1      5,609
BGC PARTNERS INC                COM    05541T101      441,975    73,296   SH         DEFINED      4                         73,296
BGC PARTNERS INC                COM    05541T101       17,065     2,830   SH         DEFINED      3                          2,830
BGC PARTNERS INC CL A           COM    05541T101      332,904    55,208   SH         SOLE         1     55,208
BHP BILLITON LTD                COM    088606108      133,877     2,015   SH         DEFINED      4                          2,015
BHP BILLITON LTD                COM    088606108      186,160     2,802   SH         DEFINED      3                          2,802
BIG 5 SPORTING GOODS CORP       COM    08915P101      109,507    18,011   SH         SOLE         1     18,011
BIG LOTS INC                    COM    089302103      746,686    21,438   SH         SOLE         1     21,438
BIGBAND NETWORKS INC            COM    089750509       40,942    31,986   SH         SOLE         1     31,986
BIGLARI HOLDINGS INC            COM    08986R101      300,243     1,013   SH         SOLE         1      1,013
BILL BARRETT CORP               COM    06846N104    4,985,464   137,568   SH         SOLE         1    137,568
BIO RAD LABORATORIES A          COM    090572207    3,916,726    43,150   SH         SOLE         1     43,150
BIO RAD LABS INC                COM    090572207       49,924       550   SH         DEFINED      3                            550
BIO RAD LABS INC                COM    090572207        1,452        16   SH         DEFINED      2                             16
BIO REFERENCE LABS INC          COM    09057G602      370,943    20,149   SH         SOLE         1     20,149
BIOCRYST PHARMACEUTICALS        COM    09058V103        3,864     1,400   SH         DEFINED      2                          1,400
BIOCRYST PHARMACEUTICALS I      COM    09058V103       58,272    21,113   SH         SOLE         1     21,113
BIODELIVERY SCIENCES INTL IN    COM    09060J106       14,555    13,353   SH         DEFINED      2                         13,353
BIOGEN IDEC INC                 COM    09062X103    9,832,076   105,551   SH         SOLE         1    105,551
BIOGEN IDEC INC                 COM    09062X103       12,203       131   SH         DEFINED      4                            131
BIOGEN IDEC INC                 COM    09062X103       54,493       585   SH         DEFINED      3                            585
BIOGEN IDEC INC                 COM    09062X103        8,197        88   SH         DEFINED      2                             88
BIOLASE TECHNOLOGY INC          COM    090911108       62,944    20,981   SH         SOLE         1     20,981
BIOMARIN PHARMACEUTICAL IN      COM    09061G101       57,493     1,804   SH         SOLE         1      1,804
BIOMARIN PHARMACEUTICAL INC     COM    09061G101      125,663     3,943   SH         DEFINED      3                          3,943
BIOMED REALTY TRUST INC         COM    09063H107    1,781,590   107,519   SH         SOLE         1    107,519
BIOMIMETIC THERAPEUTICS IN      COM    09064X101       46,273    14,022   SH         SOLE         1     14,022
BIO-REFERENCE LABS INC          COM    09057G602        5,523       300   SH         DEFINED      3                            300
BIOSANTE PHARMACEUTICALS I      COM    09065V203      182,455    80,024   SH         SOLE         1     80,024
BIOSANTE PHARMACEUTICALS INC    COM    09065V203            5         2   SH         DEFINED      2                              2
BIOSCRIP INC                    COM    09069N108      189,064    29,727   SH         SOLE         1     29,727
BIOSPECIFICS TECHNOLOGIES       COM    090931106       58,346     3,615   SH         SOLE         1      3,615
BIOTECH HOLDRS TR               COM    09067D201          779         8   SH         DEFINED      3                              8
BIOTIME INC                     COM    09066L105       79,534    18,035   SH         SOLE         1     18,035






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
BIOTIME INC                     COM    09066L105          851       193   SH         DEFINED      3                            193
BIOTIME INC                     COM    09066L105          882       200   SH         DEFINED      2                            200
BIRNER DENTAL MGMT SERVICES     COM    091283200       11,648       700   SH         DEFINED      2                            700
BJ S RESTAURANTS INC            COM    09180C106      869,320    19,708   SH         SOLE         1     19,708
BJ S WHOLESALE CLUB INC         COM    05548J106    6,156,281   120,146   SH         SOLE         1    120,146
BJS WHOLESALE CLUB INC          COM    05548J106        4,150        81   SH         DEFINED      4                             81
BLACK BOX CORP                  COM    091826107      314,443    14,728   SH         SOLE         1     14,728
BLACK DIAMOND INC               COM    09202G101       63,042     9,669   SH         SOLE         1      9,669
BLACK HILLS CORP                COM    092113109    3,501,662   114,284   SH         SOLE         1    114,284
BLACK HILLS CORP                COM    092113109       30,640     1,000   SH         DEFINED      3                          1,000
BLACKBAUD INC                   COM    09227Q100      812,098    36,466   SH         SOLE         1     36,466
BLACKBOARD INC                  COM    091935502    1,142,626    25,585   SH         SOLE         1     25,585
BLACKROCK BUILD AMER BD TR      COM    09248X100       40,400     2,000   SH         DEFINED      4                          2,000
BLACKROCK CALIF MUN INCOME T    COM    09248E102       80,194     5,696   SH         DEFINED      3                          5,696
BLACKROCK CORE BD TR            COM    09249E101        2,529       195   SH         DEFINED      2                            195
BLACKROCK CORPOR HI YLD III     COM    09255M104      368,266    56,919   SH         DEFINED      4                         56,919
BLACKROCK CORPOR HI YLD III     COM    09255M104      146,558    22,652   SH         DEFINED      3                         22,652
BLACKROCK CORPOR HIGH YLD FD    COM    09255L106       81,375    12,367   SH         DEFINED      3                         12,367
BLACKROCK DEBT STRAT FD INC     COM    09255R103       46,316    12,125   SH         DEFINED      4                         12,125
BLACKROCK DEBT STRAT FD INC     COM    09255R103       23,806     6,232   SH         DEFINED      3                          6,232
BLACKROCK DEBT STRAT FD INC     COM    09255R103        9,550     2,500   SH         DEFINED      2                          2,500
BLACKROCK ENERGY & RES TR       COM    09250U101       33,915     1,500   SH         DEFINED      4                          1,500
BLACKROCK ENERGY & RES TR       COM    09250U101       43,327     1,916   SH         DEFINED      2                          1,916
BLACKROCK ENH CAP & INC FD I    COM    09256A109        4,783       405   SH         DEFINED      4                            405
BLACKROCK ENH CAP & INC FD I    COM    09256A109       68,888     5,833   SH         DEFINED      3                          5,833
BLACKROCK ENHANCED EQT DIV T    COM    09251A104      501,632    71,867   SH         DEFINED      3                         71,867
BLACKROCK FLOAT RATE OME STR    COM    09255X100       38,190     3,000   SH         DEFINED      3                          3,000
BLACKROCK FLOATING RATE INCO    COM    091941104       12,670     1,000   SH         DEFINED      3                          1,000
BLACKROCK GLOBAL OPP EQTY TR    COM    092501105       11,598       822   SH         DEFINED      4                            822
BLACKROCK GLOBAL OPP EQTY TR    COM    092501105      193,660    13,725   SH         DEFINED      3                         13,725
BLACKROCK GLOBAL OPP EQTY TR    COM    092501105        1,439       102   SH         DEFINED      2                            102
BLACKROCK HEALTH SCIENCES TR    COM    09250W107       23,689       985   SH         DEFINED      2                            985
BLACKROCK HIGH INCOME SHS       COM    09250E107        9,967     5,085   SH         DEFINED      3                          5,085
BLACKROCK HIGH INCOME SHS       COM    09250E107       25,480    13,000   SH         DEFINED      2                         13,000
BLACKROCK HIGH YIELD TR         COM    09248N102        3,631       580   SH         DEFINED      3                            580
BLACKROCK HIGH YIELD TR         COM    09248N102       31,300     5,000   SH         DEFINED      2                          5,000
BLACKROCK INC                   COM    09247X101   16,333,496   110,354   SH         SOLE         1    110,354
BLACKROCK INC                   COM    09247X101        9,769        66   SH         DEFINED      4                             66
BLACKROCK INC                   COM    09247X101       10,065        68   SH         DEFINED      2                             68
BLACKROCK INCOME OPP TRUST I    COM    092475102      135,005    13,762   SH         DEFINED      3                         13,762
BLACKROCK INCOME OPP TRUST I    COM    092475102        4,905       500   SH         DEFINED      2                            500
BLACKROCK INTL GRWTH & INC T    COM    092524107      112,898    14,777   SH         DEFINED      3                         14,777
BLACKROCK INTL GRWTH & INC T    COM    092524107        1,322       173   SH         DEFINED      2                            173
BLACKROCK KELSO CAPITAL CO      COM    092533108      389,294    53,328   SH         SOLE         1     53,328
BLACKROCK KELSO CAPITAL CORP    COM    092533108      172,832    23,676   SH         DEFINED      4                         23,676
BLACKROCK KELSO CAPITAL CORP    COM    092533108      355,875    48,750   SH         DEFINED      3                         48,750
BLACKROCK KELSO CAPITAL CORP    COM    092533108        2,993       410   SH         DEFINED      2                            410
BLACKROCK LTD DURATION INC T    COM    09249W101       73,094     4,600   SH         DEFINED      4                          4,600
BLACKROCK LTD DURATION INC T    COM    09249W101       31,748     1,998   SH         DEFINED      3                          1,998
BLACKROCK MUN INCOME TR         COM    09248F109       13,670     1,000   SH         DEFINED      4                          1,000
BLACKROCK MUN INCOME TR         COM    09248F109          820        60   SH         DEFINED      3                             60
BLACKROCK MUNI INCOME TR II     COM    09249N101       83,505     5,700   SH         DEFINED      2                          5,700
BLACKROCK MUNI INTER DR FD I    COM    09253X102       10,988       750   SH         DEFINED      4                            750
BLACKROCK MUNI INTER DR FD I    COM    09253X102       74,554     5,089   SH         DEFINED      3                          5,089
BLACKROCK MUNIASSETS FD INC     COM    09254J102       15,763     1,318   SH         DEFINED      2                          1,318
BLACKROCK MUNICIPL INC QLTY     COM    092479104       45,114     3,157   SH         DEFINED      3                          3,157
BLACKROCK MUNICIPL INC QLTY     COM    092479104       24,293     1,700   SH         DEFINED      2                          1,700
BLACKROCK MUNIENHANCED FD IN    COM    09253Y100       14,443     1,300   SH         DEFINED      4                          1,300
BLACKROCK MUNIHLDGS FD II IN    COM    09253P109       44,790     3,000   SH         DEFINED      3                          3,000
BLACKROCK MUNIHLDGS NJ QLTY     COM    09254X101       82,766     5,800   SH         DEFINED      4                          5,800
BLACKROCK MUNIHLDGS NJ QLTY     COM    09254X101       12,286       861   SH         DEFINED      2                            861
BLACKROCK MUNIHLDNGS CALI QL    COM    09254L107      210,064    14,825   SH         DEFINED      3                         14,825
BLACKROCK MUNIVEST FD II INC    COM    09253T101       80,895     5,393   SH         DEFINED      3                          5,393
BLACKROCK MUNIYIELD CALIF FD    COM    09254M105       27,018     1,900   SH         DEFINED      3                          1,900
BLACKROCK MUNIYIELD FD INC      COM    09253W104       88,846     6,077   SH         DEFINED      2                          6,077
BLACKROCK MUNIYIELD NJ QLTY     COM    09255A100       65,847     4,700   SH         DEFINED      4                          4,700
BLACKROCK MUNIYIELD NY QLTY     COM    09255E102       13,150     1,000   SH         DEFINED      3                          1,000
BLACKROCK MUNIYIELD QLTY FD     COM    09254E103       30,789     2,329   SH         DEFINED      3                          2,329
BLACKROCK N Y MUN INCOME TR     COM    09248L106       37,960     2,600   SH         DEFINED      4                          2,600
BLACKROCK REAL ASSET EQUITY     COM    09254B109       20,261     1,950   SH         DEFINED      4                          1,950
BLACKROCK REAL ASSET EQUITY     COM    09254B109        9,704       934   SH         DEFINED      3                            934
BLACKROCK SR HIGH INCOME FD     COM    09255T109      169,294    46,382   SH         DEFINED      3                         46,382
BLACKROCK SR HIGH INCOME FD     COM    09255T109        2,938       805   SH         DEFINED      2                            805
BLACKROCK STRAT EQUITY DIV T    COM    09249Y107       34,249     3,760   SH         DEFINED      3                          3,760
BLACKROCK STRAT EQUITY DIV T    COM    09249Y107        7,288       800   SH         DEFINED      2                            800
BLACKSTONE GROUP L P            COM    09253U108       30,140     2,516   SH         DEFINED      4                          2,516
BLACKSTONE GROUP L P            COM    09253U108        7,428       620   SH         DEFINED      3                            620
BLACKSTONE GROUP L P            COM    09253U108       21,204     1,770   SH         DEFINED      2                          1,770
BLACKSTONE GSO FLTING RTE FU    COM    09256U105        7,068       400   SH         DEFINED      4                            400
BLACKSTONE GSO FLTING RTE FU    COM    09256U105      187,214    10,595   SH         DEFINED      2                         10,595
BLDRS INDEX FDS TR              COM    09348R300      594,903    16,493   SH         DEFINED      3                         16,493






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
BLDRS INDEX FDS TR              COM    09348R409        6,616       380   SH         DEFINED      3                            380
BLDRS INDEX FDS TR              COM    09348R300       19,839       550   SH         DEFINED      2                            550
BLOCK H & R INC                 COM    093671105      162,511    12,210   SH         DEFINED      3                         12,210
BLOUNT INTERNATIONAL INC        COM    095180105      474,667    35,529   SH         SOLE         1     35,529
BLUE COAT SYSTEMS INC           COM    09534T508      493,087    35,525   SH         SOLE         1     35,525
BLUE NILE INC                   COM    09578R103      375,661    10,648   SH         SOLE         1     10,648
BLUE NILE INC                   COM    09578R103          882        25   SH         DEFINED      4                             25
BLYTH INC                       COM    09643P207      235,940     4,255   SH         SOLE         1      4,255
BMC SOFTWARE INC                COM    055921100    2,484,305    64,427   SH         SOLE         1     64,427
BMC SOFTWARE INC                COM    055921100       15,848       411   SH         DEFINED      3                            411
BMC SOFTWARE INC                COM    055921100        4,627       120   SH         DEFINED      2                            120
BOARDWALK PIPELINE PARTNERS     COM    096627104       98,996     3,861   SH         DEFINED      3                          3,861
BOARDWALK PIPELINE PARTNERS     COM    096627104       19,230       750   SH         DEFINED      2                            750
BOB EVANS FARMS                 COM    096761101    2,505,026    87,834   SH         SOLE         1     87,834
BOB EVANS FARMS INC             COM    096761101      101,902     3,573   SH         DEFINED      2                          3,573
BODY CENTRAL CORP               COM    09689U102      155,940     8,587   SH         SOLE         1      8,587
BOEING CO                       COM    097023105      331,474     5,478   SH         DEFINED      4                          5,478
BOEING CO                       COM    097023105    1,131,213    18,695   SH         DEFINED      3                         18,695
BOEING CO                       COM    097023105      300,071     4,959   SH         DEFINED      2                          4,959
BOEING CO/THE                   COM    097023105   31,961,503   528,202   SH         SOLE         1    528,202
BOFI HOLDING INC                COM    05566U108       87,005     6,464   SH         SOLE         1      6,464
BOINGO WIRELESS INC             COM    09739C102       30,066     4,205   SH         SOLE         1      4,205
BOISE INC                       COM    09746Y105      393,747    76,160   SH         SOLE         1     76,160
BOK FINANCIAL CORPORATION       COM    05561Q201       33,339       711   SH         SOLE         1        711
BOK FINL CORP                   COM    05561Q201       10,042       214   SH         DEFINED      3                            214
BON TON STORES INC/THE          COM    09776J101       44,819     9,018   SH         SOLE         1      9,018
BON-TON STORES INC              COM    09776J101        2,783       560   SH         DEFINED      3                            560
BOOZ ALLEN HAMILTON HLDG COR    COM    099502106       14,870     1,000   SH         DEFINED      4                          1,000
BOOZ ALLEN HAMILTON HOLDIN      COM    099502106        7,420       499   SH         SOLE         1        499
BORGWARNER INC                  COM    099724106   14,480,955   239,236   SH         SOLE         1    239,236
BORGWARNER INC                  COM    099724106      281,041     4,643   SH         DEFINED      3                          4,643
BOSTON BEER COMPANY INC CL      COM    100557107      491,961     6,767   SH         SOLE         1      6,767
BOSTON BEER INC                 COM    100557107        7,270       100   SH         DEFINED      3                            100
BOSTON BEER INC                 COM    100557107       74,518     1,025   SH         DEFINED      2                          1,025
BOSTON PRIVATE FINL HOLDIN      COM    101119105      371,428    63,168   SH         SOLE         1     63,168
BOSTON PROPERTIES INC           COM    101121101    4,201,332    47,153   SH         SOLE         1     47,153
BOSTON PROPERTIES INC           COM    101121101        1,782        20   SH         DEFINED      4                             20
BOSTON SCIENTIFIC CORP          COM    101137107    3,007,487   508,881   SH         SOLE         1    508,881
BOSTON SCIENTIFIC CORP          COM    101137107       17,730     3,000   SH         DEFINED      4                          3,000
BOSTON SCIENTIFIC CORP          COM    101137107       47,079     7,966   SH         DEFINED      3                          7,966
BOSTON SCIENTIFIC CORP          COM    101137107        3,499       592   SH         DEFINED      2                            592
BOTTOMLINE TECHNOLOGIES IN      COM    101388106      561,443    27,877   SH         SOLE         1     27,877
BOULDER TOTAL RETURN FD INC     COM    101541100        5,400       400   SH         DEFINED      4                            400
BOYD GAMING CORP                COM    103304101      219,716    44,840   SH         SOLE         1     44,840
BOYD GAMING CORP                COM    103304101          500       102   SH         DEFINED      2                            102
BP PLC                          COM    055622104      401,171    11,122   SH         DEFINED      4                         11,122
BP PLC                          COM    055622104    1,005,090    27,865   SH         DEFINED      3                         27,865
BP PLC                          COM    055622104      363,153    10,068   SH         DEFINED      2                         10,068
BP PRUDHOE BAY RTY TR           COM    055630107      138,644     1,316   SH         DEFINED      4                          1,316
BP PRUDHOE BAY RTY TR           COM    055630107      681,615     6,470   SH         DEFINED      3                          6,470
BP PRUDHOE BAY RTY TR           COM    055630107      142,117     1,349   SH         DEFINED      2                          1,349
BPZ RESOURCES INC               COM    055639108      206,562    74,571   SH         SOLE         1     74,571
BPZ RESOURCES INC               COM    055639108        1,385       500   SH         DEFINED      4                            500
BRADY CORPORATION   CL A        COM    104674106    1,040,708    39,376   SH         SOLE         1     39,376
BRANDYWINE REALTY TRUST         COM    105368203       30,126     3,761   SH         SOLE         1      3,761
BRANDYWINE RLTY TR              COM    105368203       12,696     1,585   SH         DEFINED      3                          1,585
BRANDYWINE RLTY TR              COM    105368203       21,635     2,701   SH         DEFINED      2                          2,701
BRAVO BRIO RESTAURANT GROU      COM    10567B109      234,075    14,067   SH         SOLE         1     14,067
BRE PROPERTIES INC              COM    05564E106    6,957,309   164,320   SH         SOLE         1    164,320
BRE PROPERTIES INC              COM    05564E106        4,234       100   SH         DEFINED      3                            100
BRE PROPERTIES INC              COM    05564E106       67,744     1,600   SH         DEFINED      2                          1,600
BREITBURN ENERGY PARTNERS LP    COM    106776107       43,500     2,500   SH         DEFINED      3                          2,500
BREITBURN ENERGY PARTNERS LP    COM    106776107        3,480       200   SH         DEFINED      2                            200
BRF-BRASIL FOODS S A            COM    10552T107          600        34   SH         DEFINED      2                             34
BRIDGE BANCORP INC              COM    108035106       89,999     4,918   SH         SOLE         1      4,918
BRIDGE CAPITAL HOLDINGS         COM    108030107       67,191     6,679   SH         SOLE         1      6,679
BRIDGEPOINT ED INC              COM    10807M105        4,098       235   SH         DEFINED      3                            235
BRIDGEPOINT EDUCATION INC       COM    10807M105      227,557    13,048   SH         SOLE         1     13,048
BRIGGS & STRATTON CORP          COM    109043109          703        52   SH         DEFINED      2                             52
BRIGGS + STRATTON               COM    109043109      558,314    41,326   SH         SOLE         1     41,326
BRIGHAM EXPLORATION CO          COM    109178103       47,868     1,895   SH         SOLE         1      1,895
BRIGHAM EXPLORATION CO          COM    109178103       35,378     1,400   SH         DEFINED      3                          1,400
BRIGHAM EXPLORATION CO          COM    109178103      101,080     4,000   SH         DEFINED      2                          4,000
BRIGHTPOINT INC                 COM    109473405      514,507    55,864   SH         SOLE         1     55,864
BRIGHTPOINT INC                 COM    109473405        4,610       500   SH         DEFINED      2                            500
BRINK S CO/THE                  COM    109696104    3,158,295   135,491   SH         SOLE         1    135,491
BRINKER INTERNATIONAL INC       COM    109641100    3,775,014   180,450   SH         SOLE         1    180,450
BRINKS CO                       COM    109696104        3,846       165   SH         DEFINED      3                            165
BRISTOL MYERS SQUIBB CO         COM    110122108   71,893,494 2,291,061   SH         SOLE         1  2,291,061
BRISTOL MYERS SQUIBB CO         COM    110122108      414,939    13,223   SH         DEFINED      4                         13,223
BRISTOL MYERS SQUIBB CO         COM    110122108    1,258,099    40,092   SH         DEFINED      3                         40,092






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
BRISTOL MYERS SQUIBB CO         COM    110122108      679,231    21,645   SH         DEFINED      2                         21,645
BRISTOW GROUP INC               COM    110394103    1,263,268    29,773   SH         SOLE         1     29,773
BRITISH AMERN TOB PLC           COM    110448107       93,203     1,100   SH         DEFINED      4                          1,100
BRITISH AMERN TOB PLC           COM    110448107        1,779        21   SH         DEFINED      3                             21
BROADCOM CORP                   COM    111320107          999        30   SH         DEFINED      4                             30
BROADCOM CORP                   COM    111320107        5,859       176   SH         DEFINED      3                            176
BROADCOM CORP                   COM    111320107        6,658       200   SH         DEFINED      2                            200
BROADCOM CORP CL A              COM    111320107   12,223,489   367,182   SH         SOLE         1    367,182
BROADRIDGE FINANCIAL SOLUT      COM    11133T103   34,185,958 1,697,416   SH         SOLE         1  1,697,416
BROADRIDGE FINL SOLUTIONS IN    COM    11133T103       12,628       627   SH         DEFINED      4                            627
BROADRIDGE FINL SOLUTIONS IN    COM    11133T103        1,490        74   SH         DEFINED      3                             74
BROADRIDGE FINL SOLUTIONS IN    COM    11133T103        2,316       115   SH         DEFINED      2                            115
BROADSOFT INC                   COM    11133B409      499,773    16,467   SH         SOLE         1     16,467
BROADWIND ENERGY INC            COM    11161T108       25,048    78,251   SH         SOLE         1     78,251
BROADWIND ENERGY INC            COM    11161T108        1,601     5,000   SH         DEFINED      4                          5,000
BROADWIND ENERGY INC            COM    11161T108          320     1,000   SH         DEFINED      3                          1,000
BROCADE COMMUNICATIONS SYS      COM    111621306       65,604    15,186   SH         SOLE         1     15,186
BROCADE COMMUNICATIONS SYS I    COM    111621306       12,213     2,827   SH         DEFINED      4                          2,827
BROCADE COMMUNICATIONS SYS I    COM    111621306        1,054       244   SH         DEFINED      2                            244
BROOKDALE SENIOR LIVING IN      COM    112463104       18,885     1,506   SH         SOLE         1      1,506
BROOKDALE SR LIVING INC         COM    112463104          903        72   SH         DEFINED      2                             72
BROOKFIELD ASSET MANAGE CL      COM    112585104    1,867,835    67,798   SH         SOLE         1     67,798
BROOKFIELD ASSET MGMT INC       COM    112585104        2,893       105   SH         DEFINED      3                            105
BROOKFIELD INFRAST PARTNERS     COM    G16252101       22,368       919   SH         DEFINED      3                            919
BROOKFIELD INFRAST PARTNERS     COM    G16252101       17,087       702   SH         DEFINED      2                            702
BROOKFIELD OFFICE PPTYS INC     COM    112900105        5,508       400   SH         DEFINED      2                            400
BROOKLINE BANCORP INC           COM    11373M107      373,187    48,403   SH         SOLE         1     48,403
BROOKS AUTOMATION INC           COM    114340102      441,559    54,179   SH         SOLE         1     54,179
BROWN + BROWN INC               COM    115236101    4,523,621   254,136   SH         SOLE         1    254,136
BROWN FORMAN CORP               COM    115637209        7,715       110   SH         DEFINED      2                            110
BROWN FORMAN CORP CLASS B       COM    115637209    2,244,270    31,997   SH         SOLE         1     31,997
BROWN SHOE COMPANY INC          COM    115736100      257,139    36,115   SH         SOLE         1     36,115
BRUKER CORP                     COM    116794108       15,384     1,137   SH         SOLE         1      1,137
BRUKER CORP                     COM    116794108      261,129    19,300   SH         DEFINED      4                         19,300
BRUNSWICK CORP                  COM    117043109    1,024,148    72,945   SH         SOLE         1     72,945
BRYN MAWR BANK CORP             COM    117665109      131,234     7,920   SH         SOLE         1      7,920
BRYN MAWR BK CORP               COM    117665109       33,521     2,023   SH         DEFINED      2                          2,023
BT GROUP PLC                    COM    05577E101        7,086       266   SH         DEFINED      2                            266
BUCKEYE PARTNERS L P            COM    118230101       88,889     1,422   SH         DEFINED      4                          1,422
BUCKEYE PARTNERS L P            COM    118230101       89,639     1,434   SH         DEFINED      3                          1,434
BUCKEYE PARTNERS L P            COM    118230101      194,000     3,104   SH         DEFINED      2                          3,104
BUCKEYE TECHNOLOGIES INC        COM    118255108      786,444    32,619   SH         SOLE         1     32,619
BUCKLE INC/THE                  COM    118440106      848,889    22,072   SH         SOLE         1     22,072
BUFFALO WILD WINGS INC          COM    119848109      897,658    15,011   SH         SOLE         1     15,011
BUFFALO WILD WINGS INC          COM    119848109       71,760     1,200   SH         DEFINED      3                          1,200
BUFFALO WILD WINGS INC          COM    119848109        1,495        25   SH         DEFINED      2                             25
BUILD A BEAR WORKSHOP INC       COM    120076104       61,945    12,146   SH         SOLE         1     12,146
BUILDERS FIRSTSOURCE INC        COM    12008R107       42,187    33,218   SH         SOLE         1     33,218
BUILDERS FIRSTSOURCE INC        COM    12008R107          254       200   SH         DEFINED      3                            200
BUNGE LIMITED                   COM    G16962105       11,658       200   SH         DEFINED      3                            200
BUNGE LIMITED                   COM    G16962105        5,829       100   SH         DEFINED      2                            100
BUNGE LTD                       COM    G16962105      223,834     3,840   SH         SOLE         1      3,840
C H ROBINSON WORLDWIDE INC      COM    12541W209        6,779        99   SH         DEFINED      3                             99
C H ROBINSON WORLDWIDE INC      COM    12541W209       10,271       150   SH         DEFINED      2                            150
C.H. ROBINSON WORLDWIDE IN      COM    12541W209    4,743,670    69,281   SH         SOLE         1     69,281
C+J ENERGY SERVICES INC         COM    12467B304    1,376,028    83,700   SH         SOLE         1     83,700
CA INC                          COM    12673P105    3,201,350   164,933   SH         SOLE         1    164,933
CA INC                          COM    12673P105       15,334       790   SH         DEFINED      3                            790
CA INC                          COM    12673P105       54,482     2,807   SH         DEFINED      2                          2,807
CABELA S INC                    COM    126804301      725,817    35,423   SH         SOLE         1     35,423
CABELAS INC                     COM    126804301       13,319       650   SH         DEFINED      3                            650
CABLEVISION SYS CORP            COM    12686C109        1,494        95   SH         DEFINED      4                             95
CABLEVISION SYSTEMS NY GRP      COM    12686C109    1,529,790    97,253   SH         SOLE         1     97,253
CABOT CORP                      COM    127055101    3,559,102   143,628   SH         SOLE         1    143,628
CABOT CORP                      COM    127055101      121,422     4,900   SH         DEFINED      3                          4,900
CABOT MICROELECTRONICS COR      COM    12709P103      661,836    19,245   SH         SOLE         1     19,245
CABOT MICROELECTRONICS CORP     COM    12709P103          688        20   SH         DEFINED      4                             20
CABOT OIL & GAS CORP            COM    127097103       10,834       175   SH         DEFINED      4                            175
CABOT OIL & GAS CORP            COM    127097103       25,433       411   SH         DEFINED      3                            411
CABOT OIL + GAS CORP            COM    127097103    2,591,615    41,861   SH         SOLE         1     41,861
CACI INTERNATIONAL INC  CL      COM    127190304    1,233,168    24,693   SH         SOLE         1     24,693
CADENCE DESIGN SYS INC          COM    127387108    5,424,056   587,019   SH         SOLE         1    587,019
CADENCE PHARMACEUTICALS IN      COM    12738T100      181,828    27,760   SH         SOLE         1     27,760
CADENCE PHARMACEUTICALS INC     COM    12738T100        6,550     1,000   SH         DEFINED      3                          1,000
CADIZ INC                       COM    127537207       69,655     8,806   SH         SOLE         1      8,806
CAI INTERNATIONAL INC           COM    12477X106      103,546     8,835   SH         SOLE         1      8,835
CAL DIVE INTERNATIONAL INC      COM    12802T101      133,091    69,681   SH         SOLE         1     69,681
CAL MAINE FOODS INC             COM    128030202      365,374    11,625   SH         SOLE         1     11,625
CAL MAINE FOODS INC             COM    128030202        3,153       100   SH         DEFINED      2                            100
CALAMOS ASSET MANAGEMENT A      COM    12811R104      156,566    15,641   SH         SOLE         1     15,641
CALAMOS ASSET MGMT INC          COM    12811R104       10,110     1,010   SH         DEFINED      4                          1,010






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
CALAMOS CONV & HIGH INCOME F    COM    12811P108       21,090     1,900   SH         DEFINED      4                          1,900
CALAMOS CONV & HIGH INCOME F    COM    12811P108      386,149    34,788   SH         DEFINED      3                         34,788
CALAMOS CONV & HIGH INCOME F    COM    12811P108    2,018,946   181,887   SH         DEFINED      2                        181,887
CALAMOS CONV OPP AND INC FD     COM    128117108       72,073     6,350   SH         DEFINED      4                          6,350
CALAMOS CONV OPP AND INC FD     COM    128117108      292,166    25,742   SH         DEFINED      3                         25,742
CALAMOS CONV OPP AND INC FD     COM    128117108       71,505     6,300   SH         DEFINED      2                          6,300
CALAMOS GBL DYN INCOME FUND     COM    12811L107        3,434       485   SH         DEFINED      4                            485
CALAMOS GBL DYN INCOME FUND     COM    12811L107        5,664       800   SH         DEFINED      3                            800
CALAMOS GBL DYN INCOME FUND     COM    12811L107       24,879     3,514   SH         DEFINED      2                          3,514
CALAMOS STRATEGIC TOTL RETN     COM    128125101       31,961     4,015   SH         DEFINED      4                          4,015
CALAMOS STRATEGIC TOTL RETN     COM    128125101        1,592       200   SH         DEFINED      3                            200
CALAMOS STRATEGIC TOTL RETN     COM    128125101       15,920     2,000   SH         DEFINED      2                          2,000
CALAMP CORP                     COM    128126109          642       200   SH         DEFINED      2                            200
CALAVO GROWERS INC              COM    128246105      200,234     9,758   SH         SOLE         1      9,758
CALGON CARBON CORP              COM    129603106      674,023    46,261   SH         SOLE         1     46,261
CALGON CARBON CORP              COM    129603106           44         3   SH         DEFINED      3                              3
CALGON CARBON CORP              COM    129603106       52,452     3,600   SH         DEFINED      2                          3,600
CALIFORNIA FIRST NATL BANC      COM    130222102       22,705     1,483   SH         SOLE         1      1,483
CALIFORNIA WATER SERVICE G      COM    130788102      540,066    30,495   SH         SOLE         1     30,495
CALIFORNIA WTR SVC GROUP        COM    130788102       20,544     1,160   SH         DEFINED      3                          1,160
CALIPER LIFE SCIENCES INC       COM    130872104      360,817    34,462   SH         SOLE         1     34,462
CALIX NETWORKS INC              COM    13100M509      214,336    27,479   SH         SOLE         1     27,479
CALLAWAY GOLF COMPANY           COM    131193104      272,893    52,784   SH         SOLE         1     52,784
CALLIDUS SOFTWARE INC           COM    13123E500      100,950    21,898   SH         SOLE         1     21,898
CALLON PETE CO DEL              COM    13123X102        4,342     1,122   SH         DEFINED      3                          1,122
CALLON PETE CO DEL              COM    13123X902      434,214     1,122   SH  C      DEFINED      3                          1,122
CALLON PETROLEUM CO             COM    13123X102      110,558    28,568   SH         SOLE         1     28,568
CALPINE CORP                    COM    131347304      151,529    10,762   SH         SOLE         1     10,762
CALPINE CORP                    COM    131347304        8,392       596   SH         DEFINED      3                            596
CALUMET SPECIALTY PRODS PTNR    COM    131476103       10,164       600   SH         DEFINED      4                            600
CALUMET SPECIALTY PRODS PTNR    COM    131476103        4,489       265   SH         DEFINED      3                            265
CALUMET SPECIALTY PRODS PTNR    COM    131476103       15,246       900   SH         DEFINED      2                            900
CAMAC ENERGY INC                COM    131745101       25,706    42,844   SH         SOLE         1     42,844
CAMAC ENERGY INC                COM    131745101          300       500   SH         DEFINED      4                            500
CAMBIUM LEARNING GROUP INC      COM    13201A107       36,056    12,059   SH         SOLE         1     12,059
CAMBREX CORP                    COM    132011107      121,469    24,101   SH         SOLE         1     24,101
CAMDEN NATIONAL CORP            COM    133034108      152,706     5,608   SH         SOLE         1      5,608
CAMDEN PROPERTY TRUST           COM    133131102    8,595,638   155,549   SH         SOLE         1    155,549
CAMECO CORP                     COM    13321L108       14,656       800   SH         DEFINED      4                            800
CAMECO CORP                     COM    13321L108       21,984     1,200   SH         DEFINED      3                          1,200
CAMECO CORP                     COM    13321L108       11,084       605   SH         DEFINED      2                            605
CAMERON INTERNATIONAL CORP      COM    13342B105    4,027,386    96,952   SH         SOLE         1     96,952
CAMERON INTERNATIONAL CORP      COM    13342B105        4,403       106   SH         DEFINED      4                            106
CAMERON INTERNATIONAL CORP      COM    13342B105       91,388     2,200   SH         DEFINED      3                          2,200
CAMPBELL SOUP CO                COM    134429109    6,834,828   211,147   SH         SOLE         1    211,147
CAMPBELL SOUP CO                COM    134429109       16,185       500   SH         DEFINED      4                            500
CAMPBELL SOUP CO                COM    134429109       28,486       880   SH         DEFINED      3                            880
CAMPBELL SOUP CO                COM    134429109       45,480     1,405   SH         DEFINED      2                          1,405
CAMPUS CREST COMMUNITIES I      COM    13466Y105      243,081    22,342   SH         SOLE         1     22,342
CANADIAN NAT RES LTD            COM    136385101       10,010       342   SH         DEFINED      3                            342
CANADIAN NATL RY CO             COM    136375102        8,323       125   SH         DEFINED      3                            125
CANADIAN SOLAR INC              COM    136635109        3,680     1,000   SH         DEFINED      3                          1,000
CANON INC                       COM    138006309        1,358        30   SH         DEFINED      4                             30
CANTEL MEDICAL CORP             COM    138098108      228,349    10,812   SH         SOLE         1     10,812
CAPE BANCORP INC                COM    139209100       59,261     8,382   SH         SOLE         1      8,382
CAPELLA EDUCATION CO            COM    139594105      364,314    12,837   SH         SOLE         1     12,837
CAPELLA EDUCATION COMPANY       COM    139594105          851        30   SH         DEFINED      2                             30
CAPITAL BANK CORP               COM    139793103       21,245    10,214   SH         SOLE         1     10,214
CAPITAL CITY BANK GROUP IN      COM    139674105       86,767     8,343   SH         SOLE         1      8,343
CAPITAL ONE FINANCIAL CORP      COM    14040H105   14,329,931   361,593   SH         SOLE         1    361,593
CAPITAL ONE FINL CORP           COM    14040H105       19,815       500   SH         DEFINED      4                            500
CAPITAL ONE FINL CORP           COM    14040H139        1,272        92   SH         DEFINED      4                             92
CAPITAL ONE FINL CORP           COM    14040H105        5,865       148   SH         DEFINED      3                            148
CAPITAL PRODUCT PARTNERS L P    COM    Y11082107        7,668     1,200   SH         DEFINED      4                          1,200
CAPITAL SENIOR LIVING CORP      COM    140475104      124,128    20,118   SH         SOLE         1     20,118
CAPITAL SOUTHWEST CORP          COM    140501107      158,434     2,141   SH         SOLE         1      2,141
CAPITALSOURCE INC               COM    14055X102       55,143     8,981   SH         SOLE         1      8,981
CAPITALSOURCE INC               COM    14055X102        1,228       200   SH         DEFINED      3                            200
CAPITALSOURCE INC               COM    14055X102        5,606       913   SH         DEFINED      2                            913
CAPITOL FED FINL INC            COM    14057J101        8,459       801   SH         DEFINED      3                            801
CAPITOL FEDERAL FINANCIAL       COM    14057J101       49,146     4,654   SH         SOLE         1      4,654
CAPLEASE INC                    COM    140288101      179,442    49,707   SH         SOLE         1     49,707
CAPSTEAD MORTGAGE CORP          COM    14067E506      711,337    61,641   SH         SOLE         1     61,641
CAPSTEAD MTG CORP               COM    14067E506      200,796    17,400   SH         DEFINED      4                         17,400
CAPSTEAD MTG CORP               COM    14067E308       56,320     4,000   SH         DEFINED      4                          4,000
CAPSTEAD MTG CORP               COM    14067E506       36,605     3,172   SH         DEFINED      3                          3,172
CAPSTEAD MTG CORP               COM    14067E308       19,712     1,400   SH         DEFINED      2                          1,400
CAPSTONE TURBINE CORP           COM    14067D102      179,663   179,663   SH         SOLE         1    179,663
CARBO CERAMICS INC              COM    140781105    4,456,672    43,467   SH         SOLE         1     43,467
CARBO CERAMICS INC              COM    140781105       23,684       231   SH         DEFINED      2                            231
CARDINAL FINANCIAL CORP         COM    14149F109      182,158    21,132   SH         SOLE         1     21,132






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
CARDINAL HEALTH INC             COM    14149Y108    5,753,558   137,382   SH         SOLE         1    137,382
CARDINAL HEALTH INC             COM    14149Y108       97,497     2,328   SH         DEFINED      4                          2,328
CARDINAL HEALTH INC             COM    14149Y108      138,578     3,309   SH         DEFINED      3                          3,309
CARDINAL HEALTH INC             COM    14149Y108        2,094        50   SH         DEFINED      2                             50
CARDIONET INC                   COM    14159L103       53,388    17,796   SH         SOLE         1     17,796
CARDIOVASCULAR SYSTEMS INC      COM    141619106      110,358     9,689   SH         SOLE         1      9,689
CARDTRONICS INC                 COM    14161H108    8,102,770   353,524   SH         SOLE         1    353,524
CAREER EDUCATION CORP           COM    141665109    1,726,698   132,314   SH         SOLE         1    132,314
CAREFUSION CORP                 COM    14170T101    1,754,194    73,244   SH         SOLE         1     73,244
CAREFUSION CORP                 COM    14170T101       11,257       470   SH         DEFINED      4                            470
CAREFUSION CORP                 COM    14170T101        2,299        96   SH         DEFINED      3                             96
CARIBOU COFFEE CO INC           COM    142042209      111,486     9,432   SH         SOLE         1      9,432
CARIBOU COFFEE INC              COM    142042209        2,955       250   SH         DEFINED      3                            250
CARLISLE COS INC                COM    142339100    4,308,040   135,133   SH         SOLE         1    135,133
CARMAX INC                      COM    143130102    2,399,000   100,587   SH         SOLE         1    100,587
CARMAX INC                      COM    143130102        7,155       300   SH         DEFINED      3                            300
CARMAX INC                      COM    143130102          716        30   SH         DEFINED      2                             30
CARMIKE CINEMAS INC             COM    143436400          126        19   SH         DEFINED      4                             19
CARNIVAL CORP                   COM    143658300    6,646,396   219,353   SH         SOLE         1    219,353
CARNIVAL CORP                   COM    143658300       15,150       500   SH         DEFINED      2                            500
CARPENTER TECHNOLOGY            COM    144285103    8,484,524   189,007   SH         SOLE         1    189,007
CARPENTER TECHNOLOGY CORP       COM    144285103      336,361     7,493   SH         DEFINED      3                          7,493
CARRIZO OIL & CO INC            COM    144577103       30,177     1,400   SH         DEFINED      3                          1,400
CARRIZO OIL + GAS INC           COM    144577103      612,860    28,439   SH         SOLE         1     28,439
CARROLS RESTAURANT GROUP I      COM    14574X104       81,880     9,200   SH         SOLE         1      9,200
CARTER INC                      COM    146229109       66,241     2,169   SH         DEFINED      3                          2,169
CARTER S INC                    COM    146229109    1,233,419    40,387   SH         SOLE         1     40,387
CASCADE BANCORP                 COM    147154207       25,541     4,381   SH         SOLE         1      4,381
CASCADE CORP                    COM    147195101      249,056     7,459   SH         SOLE         1      7,459
CASELLA WASTE SYSTEMS INC       COM    147448104       97,263    18,491   SH         SOLE         1     18,491
CASEY S GENERAL STORES INC      COM    147528103    1,357,428    31,098   SH         SOLE         1     31,098
CASEYS GEN STORES INC           COM    147528103        8,730       200   SH         DEFINED      3                            200
CASH AMER INTL INC              COM    14754D100      300,923     5,882   SH         DEFINED      3                          5,882
CASH AMERICA INTL INC           COM    14754D100    1,231,728    24,076   SH         SOLE         1     24,076
CASS INFORMATION SYSTEMS I      COM    14808P109      191,051     6,153   SH         SOLE         1      6,153
CASTLE (A.M.) + CO              COM    148411101      149,659    13,680   SH         SOLE         1     13,680
CASUAL MALE RETAIL GROUP I      COM    148711302      115,710    30,774   SH         SOLE         1     30,774
CATALYST HEALTH SOLUTIONS       COM    14888B103    6,270,326   108,690   SH         SOLE         1    108,690
CATERPILLAR INC                 COM    149123101   19,799,236   268,137   SH         SOLE         1    268,137
CATERPILLAR INC DEL             COM    149123101    1,188,181    16,091   SH         DEFINED      4                         16,091
CATERPILLAR INC DEL             COM    149123101    1,866,510    25,278   SH         DEFINED      3                         25,278
CATERPILLAR INC DEL             COM    149123101      829,592    11,235   SH         DEFINED      2                         11,235
CATHAY GENERAL BANCORP          COM    149150104    2,592,740   227,833   SH         SOLE         1    227,833
CATO CORP CLASS A               COM    149205106      514,752    22,817   SH         SOLE         1     22,817
CAVCO INDUSTRIES INC            COM    149568107      171,511     4,980   SH         SOLE         1      4,980
CAVIUM INC                      COM    14964U108      955,452    35,374   SH         SOLE         1     35,374
CB RICHARD ELLIS GROUP INC      COM    12497T101    1,539,299   114,361   SH         SOLE         1    114,361
CBEYOND INC                     COM    149847105      163,305    23,131   SH         SOLE         1     23,131
CBIZ INC                        COM    124805102      189,706    28,787   SH         SOLE         1     28,787
CBL + ASSOCIATES PROPERTIE      COM    124830100    1,230,992   108,362   SH         SOLE         1    108,362
CBOE HLDGS INC                  COM    12503M108       22,488       919   SH         DEFINED      3                            919
CBOE HOLDINGS INC               COM    12503M108       17,080       698   SH         SOLE         1        698
CBRE CLARION GLOBAL REAL EST    COM    12504G100        3,372       504   SH         DEFINED      4                            504
CBRE CLARION GLOBAL REAL EST    COM    12504G100      382,133    57,120   SH         DEFINED      3                         57,120
CBRE CLARION GLOBAL REAL EST    COM    12504G100       10,055     1,503   SH         DEFINED      2                          1,503
CBS CORP CLASS B NON VOTIN      COM    124857202    6,705,917   329,044   SH         SOLE         1    329,044
CBS CORP NEW                    COM    124857202       15,040       738   SH         DEFINED      4                            738
CBS CORP NEW                    COM    124857202       33,973     1,667   SH         DEFINED      3                          1,667
CBS CORP NEW                    COM    124857202        3,933       193   SH         DEFINED      2                            193
CDI CORP                        COM    125071100      111,414    10,432   SH         SOLE         1     10,432
CEC ENTERTAINMENT INC           COM    125137109      461,755    16,219   SH         SOLE         1     16,219
CEDAR FAIR L P                  COM    150185106        5,670       300   SH         DEFINED      4                            300
CEDAR FAIR L P                  COM    150185106       18,900     1,000   SH         DEFINED      3                          1,000
CEDAR FAIR L P                  COM    150185106        3,959       209   SH         DEFINED      2                            209
CEDAR SHOPPING CENTERS INC      COM    150602209      142,755    45,902   SH         SOLE         1     45,902
CELADON GROUP INC               COM    150838100      130,119    14,653   SH         SOLE         1     14,653
CELANESE CORP DEL               COM    150870103       17,729       545   SH         DEFINED      3                            545
CELANESE CORP SERIES A          COM    150870103       76,933     2,365   SH         SOLE         1      2,365
CELGENE CORP                    COM    151020104   21,087,351   340,558   SH         SOLE         1    340,558
CELGENE CORP                    COM    151020104       28,479       460   SH         DEFINED      4                            460
CELGENE CORP                    COM    151020104      234,020     3,780   SH         DEFINED      3                          3,780
CELGENE CORP                    COM    151020104        1,548        25   SH         DEFINED      2                             25
CELL THERAPEUTICS INC           COM    150934602      149,326   140,874   SH         SOLE         1    140,874
CELL THERAPEUTICS INC           COM    150934602          143       135   SH         DEFINED      3                            135
CELL THERAPEUTICS INC           COM    150934602          572       540   SH         DEFINED      2                            540
CELLCOM ISRAEL LTD              COM    M2196U109       81,114     3,883   SH         DEFINED      4                          3,883
CELLCOM ISRAEL LTD              COM    M2196U109       21,726     1,040   SH         DEFINED      3                          1,040
CELLDEX THERAPEUTICS INC        COM    15117B103       73,650    32,232   SH         SOLE         1     32,232
CELLDEX THERAPEUTICS INC NEW    COM    15117B103           18         8   SH         DEFINED      2                              8
CEMEX SAB DE CV                 COM    151290889        3,160     1,000   SH         DEFINED      4                          1,000
CEMEX SAB DE CV                 COM    151290889        4,200     1,329   SH         DEFINED      3                          1,329






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
CEMEX SAB DE CV                 COM    151290889           25         8   SH         DEFINED      2                              8
CENOVUS ENERGY INC              COM    15135U109    3,410,407   111,052   SH         SOLE         1    111,052
CENOVUS ENERGY INC              COM    15135U109        6,081       198   SH         DEFINED      3                            198
CENTENE CORP                    COM    15135B101    6,320,846   220,469   SH         SOLE         1    220,469
CENTER BANCORP INC              COM    151408101       85,190     8,828   SH         SOLE         1      8,828
CENTER FINANCIAL CORP           COM    15146E102      122,090    26,032   SH         SOLE         1     26,032
CENTERPOINT ENERGY INC          COM    15189T107    5,032,922   256,520   SH         SOLE         1    256,520
CENTERPOINT ENERGY INC          COM    15189T107      415,748    21,190   SH         DEFINED      4                         21,190
CENTERPOINT ENERGY INC          COM    15189T107       86,367     4,402   SH         DEFINED      3                          4,402
CENTERPOINT ENERGY INC          COM    15189T107        1,472        75   SH         DEFINED      2                             75
CENTERSTATE BANKS INC           COM    15201P109      114,731    21,937   SH         SOLE         1     21,937
CENTRAL EURO DISTRIBUTION       COM    153435102      372,343    53,116   SH         SOLE         1     53,116
CENTRAL EUROPEAN MEDIA ENT      COM    G20045202      208,957    26,755   SH         SOLE         1     26,755
CENTRAL EUROPEAN MEDIA ENTRP    COM    G20045202        6,295       806   SH         DEFINED      4                            806
CENTRAL FD CDA LTD              COM    153501101       57,415     2,775   SH         DEFINED      4                          2,775
CENTRAL FD CDA LTD              COM    153501101      286,412    13,843   SH         DEFINED      3                         13,843
CENTRAL FD CDA LTD              COM    153501101      337,744    16,324   SH         DEFINED      2                         16,324
CENTRAL GARDEN AND PET CO       COM    153527205      274,499    38,771   SH         SOLE         1     38,771
CENTRAL GOLDTRUST               COM    153546106       39,894       625   SH         DEFINED      2                            625
CENTRAL PACIFIC FINANCIAL       COM    154760409      115,770    11,218   SH         SOLE         1     11,218
CENTRAL VERMONT PUBLIC SER      COM    155771108      386,535    10,978   SH         SOLE         1     10,978
CENTRAL VT PUB SVC CORP         COM    155771108       70,420     2,000   SH         DEFINED      3                          2,000
CENTURY ALUM CO                 COM    156431108       12,516     1,400   SH         DEFINED      3                          1,400
CENTURY ALUMINUM COMPANY        COM    156431108      381,908    42,719   SH         SOLE         1     42,719
CENTURY BANCORP INC  CL A       COM    156432106       58,445     2,517   SH         SOLE         1      2,517
CENTURYLINK INC                 COM    156700106   37,766,935 1,140,306   SH         SOLE         1  1,140,306
CENTURYLINK INC                 COM    156700106      178,252     5,382   SH         DEFINED      4                          5,382
CENTURYLINK INC                 COM    156700106      205,675     6,210   SH         DEFINED      3                          6,210
CENTURYLINK INC                 COM    156700106       71,015     2,144   SH         DEFINED      2                          2,144
CENVEO INC                      COM    15670S105      121,059    40,219   SH         SOLE         1     40,219
CEPHALON INC                    COM    156708109    2,076,976    25,737   SH         SOLE         1     25,737
CEPHEID INC                     COM    15670R107    1,751,932    45,118   SH         SOLE         1     45,118
CERADYNE INC                    COM    156710105      548,314    20,391   SH         SOLE         1     20,391
CERADYNE INC                    COM    156710105        3,765       140   SH         DEFINED      3                            140
CERNER CORP                     COM    156782104    4,401,793    64,241   SH         SOLE         1     64,241
CERNER CORP                     COM    156782104      507,048     7,400   SH         DEFINED      4                          7,400
CERNER CORP                     COM    156782104          548         8   SH         DEFINED      3                              8
CERNER CORP                     COM    156782104      185,415     2,706   SH         DEFINED      2                          2,706
CERUS CORP                      ADR    157085101       73,704    34,766   SH         SOLE         1     34,766
CEVA INC                        COM    157210105      459,556    18,904   SH         SOLE         1     18,904
CF INDS HLDGS INC               COM    125269100        1,111         9   SH         DEFINED      3                              9
CF INDUSTRIES HOLDINGS INC      COM    125269100    2,804,408    22,728   SH         SOLE         1     22,728
CH ENERGY GROUP INC             COM    12541M102      663,707    12,722   SH         SOLE         1     12,722
CHARLES & COLVARD LTD           COM    159765106          224       100   SH         DEFINED      3                            100
CHARLES RIVER LABORATORIES      COM    159864107    3,205,669   112,008   SH         SOLE         1    112,008
CHARMING SHOPPES                COM    161133103      220,737    84,899   SH         SOLE         1     84,899
CHART INDUSTRIES INC            COM    16115Q308    2,945,743    69,854   SH         SOLE         1     69,854
CHARTER COMMUNICATION A         ADR    16117M305       37,847       808   SH         SOLE         1        808
CHARTER FINANCIAL CORP          COM    16122M100       46,562     4,964   SH         SOLE         1      4,964
CHASE CORP                      COM    16150R104       50,278     4,677   SH         SOLE         1      4,677
CHATHAM LODGING TRUST           COM    16208T102      100,142    10,095   SH         SOLE         1     10,095
CHECK POINT SOFTWARE TECH       COM    M22465104    1,005,500    19,058   SH         SOLE         1     19,058
CHECK POINT SOFTWARE TECH LT    COM    M22465104       31,656       600   SH         DEFINED      4                            600
CHECK POINT SOFTWARE TECH LT    COM    M22465104       24,270       460   SH         DEFINED      3                            460
CHECKPOINT SYSTEMS INC          COM    162825103      445,981    32,841   SH         SOLE         1     32,841
CHEESECAKE FACTORY INC          COM    163072101        2,465       100   SH         DEFINED      3                            100
CHEESECAKE FACTORY INC/THE      COM    163072101    4,049,502   164,280   SH         SOLE         1    164,280
CHELSEA THERAPEUTICS INTER      COM    163428105      142,784    39,119   SH         SOLE         1     39,119
CHEMED CORP                     COM    16359R103      958,338    17,437   SH         SOLE         1     17,437
CHEMICAL FINANCIAL CORP         COM    163731102      306,966    20,050   SH         SOLE         1     20,050
CHEMTURA CORP                   COM    163893209      705,440    70,333   SH         SOLE         1     70,333
CHENIERE ENERGY INC             COM    16411R208      311,472    60,480   SH         SOLE         1     60,480
CHENIERE ENERGY INC             COM    16411R208       21,888     4,250   SH         DEFINED      3                          4,250
CHENIERE ENERGY INC             COM    16411R208        2,060       400   SH         DEFINED      2                            400
CHENIERE ENERGY PARTNERS LP     COM    16411Q101       11,518       850   SH         DEFINED      4                            850
CHENIERE ENERGY PARTNERS LP     COM    16411Q101      393,018    29,005   SH         DEFINED      3                         29,005
CHENIERE ENERGY PARTNERS LP     COM    16411Q101        6,775       500   SH         DEFINED      2                            500
CHEROKEE INC                    COM    16444H102       79,837     6,213   SH         SOLE         1      6,213
CHESAPEAKE ENERGY CORP          COM    165167107    7,135,144   279,262   SH         SOLE         1    279,262
CHESAPEAKE ENERGY CORP          COM    165167107      103,411     4,047   SH         DEFINED      4                          4,047
CHESAPEAKE ENERGY CORP          COM    165167107      529,499    20,724   SH         DEFINED      3                         20,724
CHESAPEAKE ENERGY CORP          COM    165167842      120,900     1,300   SH         DEFINED      3                          1,300
CHESAPEAKE ENERGY CORP          COM    165167107      187,848     7,352   SH         DEFINED      2                          7,352
CHESAPEAKE ENERGY CORP          COM    165167842       90,210       970   SH         DEFINED      2                            970
CHESAPEAKE LODGING TRUST        COM    165240102      283,476    23,486   SH         SOLE         1     23,486
CHESAPEAKE UTILITIES CORP       COM    165303108      279,807     6,976   SH         SOLE         1      6,976
CHESAPEAKE UTILS CORP           COM    165303108       18,050       450   SH         DEFINED      2                            450
CHEVRON CORP                    COM    166764100  112,179,112 1,212,485   SH         SOLE         1  1,212,485
CHEVRON CORP NEW                COM    166764100    1,743,059    18,826   SH         DEFINED      4                         18,826
CHEVRON CORP NEW                COM    166764100    4,861,447    52,505   SH         DEFINED      3                         52,505
CHEVRON CORP NEW                COM    166764100    1,695,336    18,310   SH         DEFINED      2                         18,310






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
CHICAGO BRIDGE & IRON CO N V    COM    167250109        5,726       200   SH         DEFINED      4                            200
CHICAGO BRIDGE & IRON CO N V    COM    167250109        1,432        50   SH         DEFINED      2                             50
CHICAGO BRIDGE + IRON NY S      COM    167250109       56,258     1,965   SH         SOLE         1      1,965
CHICO S FAS INC                 COM    168615102    7,919,035   692,829   SH         SOLE         1    692,829
CHICOS FAS INC                  COM    168615102        5,715       500   SH         DEFINED      3                            500
CHICOS FAS INC                  COM    168615102        7,921       693   SH         DEFINED      2                            693
CHILDREN S PLACE                COM    168905107    4,764,346   102,393   SH         SOLE         1    102,393
CHIMERA INVESTMENT CORP         COM    16934Q109       88,546    31,966   SH         SOLE         1     31,966
CHIMERA INVT CORP               COM    16934Q109       79,593    28,734   SH         DEFINED      4                         28,734
CHIMERA INVT CORP               COM    16934Q109      773,575   279,269   SH         DEFINED      3                        279,269
CHINA AUTOMOTIVE SYS INC        COM    16936R105        1,416       300   SH         DEFINED      3                            300
CHINA BAK BATTERY INC           COM    16936Y100          410       500   SH         DEFINED      2                            500
CHINA CGAME INC                 COM    16946P107           39        82   SH         DEFINED      4                             82
CHINA DIGITAL TV HLDG CO LTD    COM    16938G107          780       200   SH         DEFINED      4                            200
CHINA DIRECT INDS INC           COM    169384203          505       500   SH         DEFINED      3                            500
CHINA FD INC                    COM    169373107        1,495        65   SH         DEFINED      4                             65
CHINA FIN ONLINE CO LTD         COM    169379104          198       100   SH         DEFINED      4                            100
CHINA GENGSHENG MINERALS INC    COM    16942P101          900     1,000   SH         DEFINED      2                          1,000
CHINA LIFE INS CO LTD           COM    16939P106          284         8   SH         DEFINED      3                              8
CHINA MED TECHNOLOGIES INC      COM    169483104        4,500       900   SH         DEFINED      4                            900
CHINA MOBILE LIMITED            COM    16941M109       29,664       609   SH         DEFINED      4                            609
CHINA MOBILE LIMITED            COM    16941M109       14,613       300   SH         DEFINED      3                            300
CHINA NEPSTAR CHAIN DRUGSTOR    COM    16943C109        5,434     2,470   SH         DEFINED      4                          2,470
CHINA PRECISION STEEL INC       COM    16941J106        3,900     7,500   SH         DEFINED      3                          7,500
CHINA PRECISION STEEL INC       COM    16941J106          104       200   SH         DEFINED      2                            200
CHINA TELECOM CORP LTD          COM    169426103        9,284       150   SH         DEFINED      3                            150
CHINA UNICOM (HONG KONG) LTD    COM    16945R104       10,690       524   SH         DEFINED      3                            524
CHINA UNICOM (HONG KONG) LTD    COM    16945R104        6,120       300   SH         DEFINED      2                            300
CHINDEX INTERNATIONAL INC       COM    169467107       73,088     8,296   SH         SOLE         1      8,296
CHIPOTLE MEXICAN GRILL INC      COM    169656105    3,573,295    11,795   SH         SOLE         1     11,795
CHIPOTLE MEXICAN GRILL INC      COM    169656105       22,418        74   SH         DEFINED      4                             74
CHIPOTLE MEXICAN GRILL INC      COM    169656105       41,807       138   SH         DEFINED      3                            138
CHIPOTLE MEXICAN GRILL INC      COM    169656105        2,727         9   SH         DEFINED      2                              9
CHIQUITA BRANDS INTL            COM    170032809      276,638    33,170   SH         SOLE         1     33,170
CHIQUITA BRANDS INTL INC        COM    170032809        1,276       153   SH         DEFINED      3                            153
CHOICE HOTELS INTL INC          COM    169905106       22,706       764   SH         SOLE         1        764
CHRISTOPHER + BANKS CORP        COM    171046105      103,510    29,323   SH         SOLE         1     29,323
CHUBB CORP                      COM    171232101    9,654,011   160,927   SH         SOLE         1    160,927
CHUBB CORP                      COM    171232101        6,599       110   SH         DEFINED      4                            110
CHUBB CORP                      COM    171232101      137,797     2,297   SH         DEFINED      3                          2,297
CHUNGHWA TELECOM CO LTD         COM    17133Q502      142,593     4,321   SH         DEFINED      3                          4,321
CHURCH & DWIGHT INC             COM    171340102       97,632     2,209   SH         DEFINED      4                          2,209
CHURCH + DWIGHT CO INC          COM    171340102   13,897,055   314,413   SH         SOLE         1    314,413
CHURCHILL DOWNS INC             COM    171484108      358,061     9,174   SH         SOLE         1      9,174
CIBER INC                       COM    17163B102      160,902    53,103   SH         SOLE         1     53,103
CIENA CORP                      COM    171779309    2,366,258   211,273   SH         SOLE         1    211,273
CIENA CORP                      COM    171779309       11,536     1,030   SH         DEFINED      3                          1,030
CIENA CORP                      COM    171779309           78         7   SH         DEFINED      2                              7
CIFC CORP                       COM    12547R105       37,472     8,654   SH         SOLE         1      8,654
CIFC CORP                       COM    12547R105          217        50   SH         DEFINED      3                             50
CIGNA CORP                      COM    125509109    5,011,327   119,488   SH         SOLE         1    119,488
CIGNA CORP                      COM    125509109       12,582       300   SH         DEFINED      3                            300
CIGNA CORP                      COM    125509109        8,682       207   SH         DEFINED      2                            207
CIMAREX ENERGY CO               COM    171798101   10,456,895   187,736   SH         SOLE         1    187,736
CIMAREX ENERGY CO               COM    171798101      450,479     8,088   SH         DEFINED      3                          8,088
CIMAREX ENERGY CO               COM    171798101        2,952        53   SH         DEFINED      2                             53
CINCINNATI BELL INC             COM    171871106      503,234   162,859   SH         SOLE         1    162,859
CINCINNATI FINANCIAL CORP       COM    172062101    1,417,739    53,845   SH         SOLE         1     53,845
CINCINNATI FINL CORP            COM    172062101        3,765       143   SH         DEFINED      3                            143
CINCINNATI FINL CORP            COM    172062101        5,398       205   SH         DEFINED      2                            205
CINEDIGM DIGITAL CINEMA CORP    COM    172407108       21,713    18,246   SH         DEFINED      2                         18,246
CINEMARK HOLDINGS INC           COM    17243V102    1,281,537    67,878   SH         SOLE         1     67,878
CINEMARK HOLDINGS INC           COM    17243V102       15,217       806   SH         DEFINED      2                            806
CINTAS CORP                     COM    172908105    1,053,083    37,423   SH         SOLE         1     37,423
CINTAS CORP                     COM    172908105       14,070       500   SH         DEFINED      4                            500
CIRCOR INTERNATIONAL INC        COM    17273K109      414,675    14,119   SH         SOLE         1     14,119
CIRRUS LOGIC INC                COM    172755100      798,304    54,159   SH         SOLE         1     54,159
CIRRUS LOGIC INC                COM    172755100       19,162     1,300   SH         DEFINED      3                          1,300
CIRRUS LOGIC INC                COM    172755100       19,162     1,300   SH         DEFINED      2                          1,300
CISCO SYS INC                   COM    17275R102      434,574    28,037   SH         DEFINED      4                         28,037
CISCO SYS INC                   COM    17275R102    1,257,319    81,117   SH         DEFINED      3                         81,117
CISCO SYS INC                   COM    17275R102      396,504    25,581   SH         DEFINED      2                         25,581
CISCO SYS INC                   COM    17275R902          910        30   SH  C      DEFINED      2                             30
CISCO SYSTEMS INC               COM    17275R102   34,579,969 2,232,406   SH         SOLE         1  2,232,406
CIT GROUP INC                   COM    125581801      184,771     6,084   SH         SOLE         1      6,084
CIT GROUP INC                   COM    125581801        4,920       162   SH         DEFINED      4                            162
CIT GROUP INC                   COM    125581801       85,704     2,822   SH         DEFINED      3                          2,822
CITI TRENDS INC                 COM    17306X102      128,717    10,936   SH         SOLE         1     10,936
CITIGROUP INC                   COM    172967424   36,497,714 1,424,579   SH         SOLE         1  1,424,579
CITIGROUP INC                   COM    172967424       65,293     2,549   SH         DEFINED      4                          2,549
CITIGROUP INC                   COM    172967904          160        80   SH  C      DEFINED      4                             80






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
CITIGROUP INC                   COM    172967424      576,773    22,517   SH         DEFINED      3                         22,517
CITIGROUP INC                   COM    172967416      101,528     1,275   SH         DEFINED      3                          1,275
CITIGROUP INC                   COM    172967424      437,530    17,081   SH         DEFINED      2                         17,081
CITIZENS + NORTHERN CORP        COM    172922106      132,224     8,898   SH         SOLE         1      8,898
CITIZENS INC                    COM    174740100      177,506    27,692   SH         SOLE         1     27,692
CITRIX SYS INC                  COM    177376100        2,727        50   SH         DEFINED      4                             50
CITRIX SYSTEMS INC              COM    177376100    4,011,009    73,556   SH         SOLE         1     73,556
CITY HLDG CO                    COM    177835105        7,530       279   SH         DEFINED      3                            279
CITY HOLDING CO                 COM    177835105      336,565    12,470   SH         SOLE         1     12,470
CITY NATIONAL CORP              COM    178566105    3,881,501   102,794   SH         SOLE         1    102,794
CLARCOR INC                     COM    179895107    1,708,953    41,299   SH         SOLE         1     41,299
CLAYMORE EXCHANGE TRD FD TR     COM    18383M621          966       299   SH         DEFINED      4                            299
CLAYMORE EXCHANGE TRD FD TR     COM    18383Q507        3,664       200   SH         DEFINED      4                            200
CLAYMORE EXCHANGE TRD FD TR     COM    18383Q853       39,842     2,200   SH         DEFINED      4                          2,200
CLAYMORE EXCHANGE TRD FD TR     COM    18383M720      165,168     6,338   SH         DEFINED      4                          6,338
CLAYMORE EXCHANGE TRD FD TR     COM    18383Q879      276,586    17,374   SH         DEFINED      4                         17,374
CLAYMORE EXCHANGE TRD FD TR     COM    18383M100       96,192     2,800   SH         DEFINED      3                          2,800
CLAYMORE EXCHANGE TRD FD TR     COM    18383M407          727        35   SH         DEFINED      3                             35
CLAYMORE EXCHANGE TRD FD TR     COM    18383M506       40,127     2,147   SH         DEFINED      3                          2,147
CLAYMORE EXCHANGE TRD FD TR     COM    18383M621        4,522     1,400   SH         DEFINED      3                          1,400
CLAYMORE EXCHANGE TRD FD TR     COM    18383Q507       75,169     4,103   SH         DEFINED      3                          4,103
CLAYMORE EXCHANGE TRD FD TR     COM    18383Q838       23,660     1,300   SH         DEFINED      3                          1,300
CLAYMORE EXCHANGE TRD FD TR     COM    18383Q853        9,055       500   SH         DEFINED      3                            500
CLAYMORE EXCHANGE TRD FD TR     COM    18383Q879       23,880     1,500   SH         DEFINED      3                          1,500
CLAYMORE EXCHANGE TRD FD TR     COM    18383M506      749,675    40,111   SH         DEFINED      2                         40,111
CLAYMORE EXCHANGE TRD FD TR     COM    18383Q838      625,334    34,359   SH         DEFINED      2                         34,359
CLAYMORE EXCHANGE TRD FD TR     COM    18383Q606        1,418       100   SH         DEFINED      2                            100
CLAYMORE EXCHANGE TRD FD TR     COM    18383Q796       35,640     2,400   SH         DEFINED      2                          2,400
CLAYTON WILLIAMS ENERGY IN      COM    969490101      184,468     4,309   SH         SOLE         1      4,309
CLEAN ENERGY FUELS CORP         COM    184499101      402,555    36,201   SH         SOLE         1     36,201
CLEAN ENERGY FUELS CORP         COM    184499101        6,672       600   SH         DEFINED      4                            600
CLEAN ENERGY FUELS CORP         COM    184499101        7,784       700   SH         DEFINED      3                            700
CLEAN ENERGY FUELS CORP         COM    184499101      111,200    10,000   SH         DEFINED      2                         10,000
CLEAN HARBORS INC               COM    184496107    7,003,373   136,518   SH         SOLE         1    136,518
CLEAN HARBORS INC               COM    184496107       10,260       200   SH         DEFINED      3                            200
CLEAN HARBORS INC               COM    184496107        1,488        29   SH         DEFINED      2                             29
CLEAR CHANNEL OUTDOOR CL A      COM    18451C109       10,642     1,137   SH         SOLE         1      1,137
CLEARBRIDGE ENERGY MLP FD IN    COM    184692101       18,554       950   SH         DEFINED      3                            950
CLEARWATER PAPER CORP           COM    18538R103      641,271    18,872   SH         SOLE         1     18,872
CLEARWIRE CORP CLASS A          COM    18538Q105        6,806     2,921   SH         SOLE         1      2,921
CLEARWIRE CORP NEW              COM    18538Q105          233       100   SH         DEFINED      2                            100
CLECO CORPORATION               COM    12561W105    6,040,663   176,938   SH         SOLE         1    176,938
CLEVELAND BIOLABS INC           COM    185860103       52,563    20,694   SH         SOLE         1     20,694
CLIFFS NATURAL RESOURCES I      COM    18683K101    3,888,511    75,992   SH         SOLE         1     75,992
CLIFFS NATURAL RESOURCES INC    COM    18683K101       10,234       200   SH         DEFINED      4                            200
CLIFFS NATURAL RESOURCES INC    COM    18683K101      112,574     2,200   SH         DEFINED      3                          2,200
CLIFFS NATURAL RESOURCES INC    COM    18683K101      338,492     6,615   SH         DEFINED      2                          6,615
CLIFTON SAVINGS BANCORP IN      COM    18712Q103       57,177     6,242   SH         SOLE         1      6,242
CLOROX CO DEL                   COM    189054109      111,832     1,686   SH         DEFINED      4                          1,686
CLOROX CO DEL                   COM    189054109      145,887     2,199   SH         DEFINED      3                          2,199
CLOROX CO DEL                   COM    189054109      197,555     2,978   SH         DEFINED      2                          2,978
CLOROX COMPANY                  COM    189054109   39,172,707   590,573   SH         SOLE         1    590,573
CLOUD PEAK ENERGY INC           COM    18911Q102      754,614    44,520   SH         SOLE         1     44,520
CLOUD PEAK ENERGY INC           COM    18911Q102        1,915       113   SH         DEFINED      4                            113
CLOUD PEAK ENERGY INC           COM    18911Q102       35,595     2,100   SH         DEFINED      2                          2,100
CLOUGH GLOBAL OPPORTUNITIES     COM    18914E106       16,880     1,600   SH         DEFINED      4                          1,600
CME GROUP INC                   COM    12572Q105    8,139,824    33,035   SH         SOLE         1     33,035
CME GROUP INC                   COM    12572Q105       10,102        41   SH         DEFINED      3                             41
CME GROUP INC                   COM    12572Q105        1,725         7   SH         DEFINED      2                              7
CMS ENERGY CORP                 COM    125896100    3,123,733   157,844   SH         SOLE         1    157,844
CMS ENERGY CORP                 COM    125896100        6,002       303   SH         DEFINED      4                            303
CMS ENERGY CORP                 COM    125896100        5,106       258   SH         DEFINED      3                            258
CMS ENERGY CORP                 COM    125896100      115,653     5,844   SH         DEFINED      2                          5,844
CNA FINANCIAL CORP              COM    126117100       16,650       741   SH         SOLE         1        741
CNA FINL CORP                   COM    126117100       37,300     1,660   SH         DEFINED      2                          1,660
CNB FINANCIAL CORP/PA           COM    126128107      115,072     8,976   SH         SOLE         1      8,976
CNH GLOBAL N.V.                 COM    N20935206       19,286       735   SH         SOLE         1        735
CNO FINANCIAL GROUP INC         COM    12621E103    1,689,527   312,297   SH         SOLE         1    312,297
CNO FINL GROUP INC              COM    12621E103          271        50   SH         DEFINED      3                             50
CNOOC LTD                       COM    126132109       13,305        83   SH         DEFINED      4                             83
CNOOC LTD                       COM    126132109       48,090       300   SH         DEFINED      3                            300
COACH INC                       COM    189754104   11,534,196   222,539   SH         SOLE         1    222,539
COACH INC                       COM    189754104       62,196     1,200   SH         DEFINED      4                          1,200
COACH INC                       COM    189754104      290,791     5,610   SH         DEFINED      3                          5,610
COACH INC                       COM    189754104        4,406        85   SH         DEFINED      2                             85
COBALT INTERNATIONAL ENERG      COM    19075F106       13,115     1,701   SH         SOLE         1      1,701
COBALT INTL ENERGY INC          COM    19075F106        9,252     1,200   SH         DEFINED      3                          1,200
COBIZ FINANCIAL INC             COM    190897108      106,185    23,755   SH         SOLE         1     23,755
COCA COLA BOTTLING CO CONS      COM    191098102      185,347     3,342   SH         SOLE         1      3,342
COCA COLA BOTTLING CO CONS      COM    191098102        1,553        28   SH         DEFINED      3                             28
COCA COLA CO                    COM    191216100    1,829,998    27,087   SH         DEFINED      4                         27,087






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
COCA COLA CO                    COM    191216100    2,479,089    36,695   SH         DEFINED      3                         36,695
COCA COLA CO                    COM    191216100    1,419,607    21,013   SH         DEFINED      2                         21,013
COCA COLA CO/THE                COM    191216100   50,463,334   746,941   SH         SOLE         1    746,941
COCA COLA ENTERPRISES           COM    19122T109    3,598,593   144,638   SH         SOLE         1    144,638
COCA COLA ENTERPRISES INC NE    COM    19122T109        4,205       169   SH         DEFINED      3                            169
COCA COLA ENTERPRISES INC NE    COM    19122T109       12,440       500   SH         DEFINED      2                            500
CODEXIS INC                     COM    192005106       81,926    17,927   SH         SOLE         1     17,927
COEUR D ALENE MINES CORP        COM    192108504    3,625,204   169,086   SH         SOLE         1    169,086
COEUR D ALENE MINES CORP IDA    COM    192108504       24,141     1,126   SH         DEFINED      3                          1,126
COEUR D ALENE MINES CORP IDA    COM    192108504        6,432       300   SH         DEFINED      2                            300
COGDELL SPENCER INC             COM    19238U107      122,710    32,549   SH         SOLE         1     32,549
COGENT COMMUNICATIONS GROU      COM    19239V302      451,611    33,577   SH         SOLE         1     33,577
COGNEX CORP                     COM    192422103      922,201    34,017   SH         SOLE         1     34,017
COGNEX CORP                     COM    192422103        5,285       195   SH         DEFINED      2                            195
COGNIZANT TECH SOLUTIONS A      COM    192446102   15,922,101   253,941   SH         SOLE         1    253,941
COGNIZANT TECHNOLOGY SOLUTIO    COM    192446102       35,426       565   SH         DEFINED      4                            565
COGNIZANT TECHNOLOGY SOLUTIO    COM    192446102        9,280       148   SH         DEFINED      3                            148
COGNIZANT TECHNOLOGY SOLUTIO    COM    192446102       14,296       228   SH         DEFINED      2                            228
COHEN & STEERS CLOSED END OP    COM    19248P106      111,056     9,549   SH         DEFINED      2                          9,549
COHEN & STEERS DIV MJRS FDIN    COM    19248G106       39,133     3,460   SH         DEFINED      4                          3,460
COHEN & STEERS GLOBAL INC BL    COM    19248M103       31,516     3,631   SH         DEFINED      2                          3,631
COHEN & STEERS INC              COM    19247A100        5,204       181   SH         DEFINED      3                            181
COHEN & STEERS INFRASTRUCTUR    COM    19248A109       71,768     4,609   SH         DEFINED      3                          4,609
COHEN & STEERS INFRASTRUCTUR    COM    19248A109       13,717       881   SH         DEFINED      2                            881
COHEN & STEERS QUALITY RLTY     COM    19247L106       41,786     5,448   SH         DEFINED      4                          5,448
COHEN & STEERS QUALITY RLTY     COM    19247L106      524,096    68,331   SH         DEFINED      3                         68,331
COHEN & STEERS QUALITY RLTY     COM    19247L106      103,067    13,438   SH         DEFINED      2                         13,438
COHEN & STEERS REIT & PFD IN    COM    19247X100        5,723       445   SH         DEFINED      4                            445
COHEN & STEERS REIT & PFD IN    COM    19247X100        9,221       717   SH         DEFINED      3                            717
COHEN & STEERS TOTAL RETURN     COM    19247R103      684,747    60,277   SH         DEFINED      4                         60,277
COHEN & STEERS TOTAL RETURN     COM    19247R103        5,680       500   SH         DEFINED      2                            500
COHEN + STEERS INC              COM    19247A100      373,089    12,977   SH         SOLE         1     12,977
COHERENT INC                    COM    192479103      786,426    18,306   SH         SOLE         1     18,306
COHU INC                        COM    192576106      194,676    19,704   SH         SOLE         1     19,704
COINSTAR INC                    COM    19259P300    1,025,240    25,631   SH         SOLE         1     25,631
COINSTAR INC                    COM    19259P300        4,000       100   SH         DEFINED      4                            100
COINSTAR INC                    COM    19259P300       12,000       300   SH         DEFINED      3                            300
COLDWATER CREEK INC             COM    193068103       62,300    49,840   SH         SOLE         1     49,840
COLDWATER CREEK INC             COM    193068103      132,869   106,295   SH         DEFINED      3                        106,295
COLDWATER CREEK INC             COM    193068103        3,750     3,000   SH         DEFINED      2                          3,000
COLEMAN CABLE INC               COM    193459302       51,699     6,111   SH         SOLE         1      6,111
COLFAX CORP                     COM    194014106      363,728    17,953   SH         SOLE         1     17,953
COLFAX CORP                     COM    194014106        8,104       400   SH         DEFINED      3                            400
COLGATE PALMOLIVE CO            COM    194162103   17,397,774   196,186   SH         SOLE         1    196,186
COLGATE PALMOLIVE CO            COM    194162103      197,579     2,228   SH         DEFINED      4                          2,228
COLGATE PALMOLIVE CO            COM    194162103      816,866     9,211   SH         DEFINED      3                          9,211
COLGATE PALMOLIVE CO            COM    194162103      261,551     2,949   SH         DEFINED      2                          2,949
COLLECTIVE BRANDS INC           COM    19421W100    2,284,304   176,258   SH         SOLE         1    176,258
COLLECTIVE BRANDS INC           COM    19421W100        3,240       250   SH         DEFINED      3                            250
COLONIAL PPTYS TR               COM    195872106        9,063       499   SH         DEFINED      4                            499
COLONIAL PROPERTIES TRUST       COM    195872106    1,247,846    68,714   SH         SOLE         1     68,714
COLONY FINANCIAL INC            COM    19624R106      310,545    24,036   SH         SOLE         1     24,036
COLUMBIA BANKING SYSTEM IN      COM    197236102      463,195    32,346   SH         SOLE         1     32,346
COLUMBIA LABORATORIES INC       COM    197779101      104,471    53,575   SH         SOLE         1     53,575
COLUMBIA SPORTSWEAR CO          COM    198516106      411,290     8,864   SH         SOLE         1      8,864
COLUMBUS MCKINNON CORP/NY       COM    199333105      154,109    14,061   SH         SOLE         1     14,061
COMCAST CORP CLASS A            COM    20030N101   39,295,867 1,880,185   SH         SOLE         1  1,880,185
COMCAST CORP NEW                COM    20030N101       37,656     1,800   SH         DEFINED      4                          1,800
COMCAST CORP NEW                COM    20030N200        2,984       144   SH         DEFINED      4                            144
COMCAST CORP NEW                COM    20030N101       82,869     3,961   SH         DEFINED      3                          3,961
COMCAST CORP NEW                COM    20030N200       17,049       823   SH         DEFINED      3                            823
COMCAST CORP NEW                COM    20030N101       59,240     2,832   SH         DEFINED      2                          2,832
COMCAST CORP NEW                COM    20030N200        9,324       450   SH         DEFINED      2                            450
COMERICA INC                    COM    200340107    1,536,394    66,887   SH         SOLE         1     66,887
COMERICA INC                    COM    200340107        2,710       118   SH         DEFINED      4                            118
COMFORT SYSTEMS USA INC         COM    199908104      258,303    31,046   SH         SOLE         1     31,046
COMMERCE BANCSHARES INC         COM    200525103    5,902,566   169,858   SH         SOLE         1    169,858
COMMERCE BANCSHARES INC         COM    200525103        1,807        52   SH         DEFINED      4                             52
COMMERCIAL METALS CO            COM    201723103    2,411,812   253,608   SH         SOLE         1    253,608
COMMERCIAL VEH GROUP INC        COM    202608105          657       100   SH         DEFINED      3                            100
COMMERCIAL VEHICLE GROUP I      COM    202608105      138,101    21,020   SH         SOLE         1     21,020
COMMONWEALTH REIT               COM    203233101       44,105     2,325   SH         SOLE         1      2,325
COMMONWEALTH REIT               COM    203233101        9,485       500   SH         DEFINED      4                            500
COMMONWEALTH REIT               COM    203233101       23,504     1,239   SH         DEFINED      2                          1,239
COMMUNICATIONS SYSTEMS INC      COM    203900105       63,128     4,856   SH         SOLE         1      4,856
COMMUNITY BANK SYSTEM INC       COM    203607106      683,831    30,138   SH         SOLE         1     30,138
COMMUNITY BK SYS INC            COM    203607106       23,825     1,050   SH         DEFINED      3                          1,050
COMMUNITY BK SYS INC            COM    203607106       34,035     1,500   SH         DEFINED      2                          1,500
COMMUNITY CAP CORP S C          COM    20363C102          312       115   SH         DEFINED      3                            115
COMMUNITY HEALTH SYS INC NEW    COM    203668108        3,744       225   SH         DEFINED      3                            225
COMMUNITY HEALTH SYSTEMS I      COM    203668108    3,405,193   204,639   SH         SOLE         1    204,639






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
COMMUNITY TRUST BANCORP IN      COM    204149108      235,578    10,115   SH         SOLE         1     10,115
COMMVAULT SYSTEMS INC           COM    204166102    1,338,533    36,118   SH         SOLE         1     36,118
COMPANHIA DE BEBIDAS DAS AME    COM    20441W203       17,746       579   SH         DEFINED      4                            579
COMPANHIA DE BEBIDAS DAS AME    COM    20441W203       13,180       430   SH         DEFINED      3                            430
COMPANHIA DE BEBIDAS DAS AME    COM    20441W203       16,091       525   SH         DEFINED      2                            525
COMPANHIA ENERGETICA DE MINA    COM    204409601       15,641     1,054   SH         DEFINED      3                          1,054
COMPANHIA ENERGETICA DE MINA    COM    204409601        1,484       100   SH         DEFINED      2                            100
COMPANHIA PARANAENSE ENERG C    COM    20441B407        3,642       200   SH         DEFINED      2                            200
COMPANHIA SIDERURGICA NACION    COM    20440W105       14,292     1,800   SH         DEFINED      4                          1,800
COMPANHIA SIDERURGICA NACION    COM    20440W105       15,928     2,006   SH         DEFINED      3                          2,006
COMPANIA CERVECERIAS UNIDAS     COM    204429104          155         3   SH         DEFINED      3                              3
COMPANIA DE MINAS BUENAVENTU    COM    204448104       36,004       954   SH         DEFINED      4                            954
COMPASS DIVERSIFIED HOLDIN      COM    20451Q104      359,139    29,486   SH         SOLE         1     29,486
COMPASS DIVERSIFIED HOLDINGS    COM    20451Q104      352,599    28,949   SH         DEFINED      4                         28,949
COMPASS DIVERSIFIED HOLDINGS    COM    20451Q104      937,258    76,951   SH         DEFINED      3                         76,951
COMPASS DIVERSIFIED HOLDINGS    COM    20451Q104       39,098     3,210   SH         DEFINED      2                          3,210
COMPASS MINERALS INTERNATI      COM    20451N101    4,791,866    71,756   SH         SOLE         1     71,756
COMPLETE GENOMICS INC           COM    20454K104       42,552     7,249   SH         SOLE         1      7,249
COMPLETE PRODUCTION SERVIC      COM    20453E109    4,869,822   258,346   SH         SOLE         1    258,346
COMPUTER PROGRAMS + SYSTEM      COM    205306103      599,517     9,063   SH         SOLE         1      9,063
COMPUTER SCIENCES CORP          COM    205363104    2,222,428    82,772   SH         SOLE         1     82,772
COMPUTER SCIENCES CORP          COM    205363104        2,713       101   SH         DEFINED      3                            101
COMPUTER TASK GROUP INC         COM    205477102      123,328    11,041   SH         SOLE         1     11,041
COMPUWARE CORP                  COM    205638109      532,171    69,474   SH         SOLE         1     69,474
COMPUWARE CORP                  COM    205638109          996       130   SH         DEFINED      3                            130
COMPX INTERNATIONAL INC         COM    20563P101       10,668       840   SH         SOLE         1        840
COMSCORE INC                    COM    20564W105      440,526    26,113   SH         SOLE         1     26,113
COMSTOCK RESOURCES INC          COM    205768203    4,141,502   267,885   SH         SOLE         1    267,885
COMTECH TELECOMMUNICATIONS      COM    205826209      612,474    21,804   SH         SOLE         1     21,804
COMTECH TELECOMMUNICATIONS C    COM    205826209        1,826        65   SH         DEFINED      2                             65
CON WAY INC                     COM    205944101    2,699,196   121,970   SH         SOLE         1    121,970
CONAGRA FOODS INC               COM    205887102    3,313,417   136,805   SH         SOLE         1    136,805
CONAGRA FOODS INC               COM    205887102       65,467     2,703   SH         DEFINED      4                          2,703
CONAGRA FOODS INC               COM    205887102      170,412     7,036   SH         DEFINED      3                          7,036
CONAGRA FOODS INC               COM    205887102       16,954       700   SH         DEFINED      2                            700
CONCEPTUS INC                   COM    206016107      238,507    22,780   SH         SOLE         1     22,780
CONCHO RES INC                  COM    20605P101      159,354     2,240   SH         DEFINED      3                          2,240
CONCHO RES INC                  COM    20605P101        1,352        19   SH         DEFINED      2                             19
CONCHO RESOURCES INC            COM    20605P101      108,631     1,527   SH         SOLE         1      1,527
CONCUR TECHNOLOGIES INC         COM    206708109    4,957,965   133,207   SH         SOLE         1    133,207
CONMED CORP                     COM    207410101      534,016    23,208   SH         SOLE         1     23,208
CONN S INC                      COM    208242107       75,979    10,582   SH         SOLE         1     10,582
CONNECTICUT WATER SVC INC       COM    207797101      156,950     6,273   SH         SOLE         1      6,273
CONOCOPHILLIPS                  COM    20825C104   43,885,826   693,080   SH         SOLE         1    693,080
CONOCOPHILLIPS                  COM    20825C104      583,620     9,217   SH         DEFINED      4                          9,217
CONOCOPHILLIPS                  COM    20825C104    3,810,668    60,181   SH         DEFINED      3                         60,181
CONOCOPHILLIPS                  COM    20825C104      739,269    11,675   SH         DEFINED      2                         11,675
CONS TOMOKA LAND CO FLORID      COM    210226106       80,434     3,063   SH         SOLE         1      3,063
CONSOL ENERGY INC               COM    20854P109    8,490,338   250,231   SH         SOLE         1    250,231
CONSOL ENERGY INC               COM    20854P109       16,965       500   SH         DEFINED      3                            500
CONSOL ENERGY INC               COM    20854P109       25,448       750   SH         DEFINED      2                            750
CONSOLIDATED COMM HLDGS INC     COM    209034107      120,935     6,700   SH         DEFINED      4                          6,700
CONSOLIDATED COMM HLDGS INC     COM    209034107           36         2   SH         DEFINED      3                              2
CONSOLIDATED COMMUNICATION      COM    209034107      344,593    19,091   SH         SOLE         1     19,091
CONSOLIDATED EDISON INC         COM    209115104   13,333,101   233,832   SH         SOLE         1    233,832
CONSOLIDATED EDISON INC         COM    209115104       68,200     1,196   SH         DEFINED      4                          1,196
CONSOLIDATED EDISON INC         COM    209115104      264,801     4,644   SH         DEFINED      3                          4,644
CONSOLIDATED EDISON INC         COM    209115104      543,116     9,525   SH         DEFINED      2                          9,525
CONSOLIDATED GRAPHICS INC       COM    209341106      270,541     7,406   SH         SOLE         1      7,406
CONSOLIDATED WATER CO INC       COM    G23773107        3,152       400   SH         DEFINED      2                            400
CONSOLIDATED WATER CO ORD       COM    G23773107       83,796    10,634   SH         SOLE         1     10,634
CONSTANT CONTACT INC            COM    210313102      372,098    21,521   SH         SOLE         1     21,521
CONSTANT CONTACT INC            COM    210313102       12,968       750   SH         DEFINED      3                            750
CONSTELLATION BRANDS INC        COM    21036P108        5,400       300   SH         DEFINED      4                            300
CONSTELLATION BRANDS INC        COM    21036P108        1,800       100   SH         DEFINED      3                            100
CONSTELLATION BRANDS INC A      COM    21036P108    1,105,128    61,396   SH         SOLE         1     61,396
CONSTELLATION ENERGY GROUP      COM    210371100    3,425,590    90,005   SH         SOLE         1     90,005
CONSTELLATION ENERGY GROUP I    COM    210371100        5,671       149   SH         DEFINED      3                            149
CONSTELLATION ENERGY PRTNR L    COM    21038E101       27,800    10,000   SH         DEFINED      3                         10,000
CONTANGO OIL & GAS COMPANY      COM    21075N204        5,471       100   SH         DEFINED      2                            100
CONTANGO OIL + GAS              COM    21075N204      550,820    10,068   SH         SOLE         1     10,068
CONTINENTAL RESOURCES INC       COM    212015101       18,139       375   SH         DEFINED      3                            375
CONTINENTAL RESOURCES INC       COM    212015101       19,348       400   SH         DEFINED      2                            400
CONTINENTAL RESOURCES INC/      COM    212015101       28,151       582   SH         SOLE         1        582
CONTINUCARE CORP                COM    212172100      138,153    21,654   SH         SOLE         1     21,654
CONVERGYS CORP                  COM    212485106    3,160,469   336,937   SH         SOLE         1    336,937
CONVERGYS CORP                  COM    212485106        1,876       200   SH         DEFINED      2                            200
CONVIO INC                      COM    21257W105       74,328     8,838   SH         SOLE         1      8,838
CON-WAY INC                     COM    205944101        5,754       260   SH         DEFINED      2                            260
COOPER COS INC/THE              COM    216648402    8,290,804   104,748   SH         SOLE         1    104,748
COOPER INDUSTRIES PLC           COM    G24140108      159,852     3,466   SH         SOLE         1      3,466






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
COOPER INDUSTRIES PLC           COM    G24140108       11,991       260   SH         DEFINED      4                            260
COOPER INDUSTRIES PLC           COM    G24140108       84,719     1,837   SH         DEFINED      3                          1,837
COOPER TIRE + RUBBER            COM    216831107      493,916    45,355   SH         SOLE         1     45,355
COPA HOLDINGS SA                COM    P31076105       30,635       500   SH         DEFINED      3                            500
COPA HOLDINGS SA CLASS A        COM    P31076105       32,963       538   SH         SOLE         1        538
COPANO ENERGY L L C             COM    217202100      546,011    18,316   SH         DEFINED      3                         18,316
COPANO ENERGY L L C             COM    217202100       70,352     2,360   SH         DEFINED      2                          2,360
COPART INC                      COM    217204106    4,816,650   123,125   SH         SOLE         1    123,125
COPART INC                      COM    217204106          313         8   SH         DEFINED      3                              8
COPART INC                      COM    217204106        7,824       200   SH         DEFINED      2                            200
CORCEPT THERAPEUTICS INC        COM    218352102       92,972    29,991   SH         SOLE         1     29,991
CORE LABORATORIES N V           COM    N22717107        8,983       100   SH         DEFINED      2                            100
CORE LABORATORIES N.V.          COM    N22717107       63,600       708   SH         SOLE         1        708
CORE MARK HOLDING CO INC        COM    218681104      254,811     8,319   SH         SOLE         1      8,319
CORELOGIC INC                   COM    21871D103    2,489,236   233,293   SH         SOLE         1    233,293
CORELOGIC INC                   COM    21871D103        7,469       700   SH         DEFINED      3                            700
CORESITE REALTY CORP            ADR    21870Q105      208,219    14,510   SH         SOLE         1     14,510
CORESITE RLTY CORP              COM    21870Q105       66,857     4,659   SH         DEFINED      3                          4,659
CORINTHIAN COLLEGES INC         COM    218868107      100,537    64,447   SH         SOLE         1     64,447
CORINTHIAN COLLEGES INC         COM    218868107       11,789     7,606   SH         DEFINED      2                          7,606
CORN PRODUCTS INTL INC          COM    219023108    6,575,486   167,571   SH         SOLE         1    167,571
CORNERSTONE ONDEMAND INC        COM    21925Y103      104,496     8,333   SH         SOLE         1      8,333
CORNERSTONE THERAPEUTICS I      COM    21924P103       37,600     5,875   SH         SOLE         1      5,875
CORNERSTONE THERAPEUTICS INC    COM    21924P103       51,200     8,000   SH         DEFINED      2                          8,000
CORNERSTONE TOTAL RTRN FD IN    COM    21924U201           33         4   SH         DEFINED      3                              4
CORNING INC                     COM    219350105   13,613,514 1,101,417   SH         SOLE         1  1,101,417
CORNING INC                     COM    219350105      180,703    14,620   SH         DEFINED      4                         14,620
CORNING INC                     COM    219350105      453,949    36,727   SH         DEFINED      3                         36,727
CORNING INC                     COM    219350105       27,723     2,243   SH         DEFINED      2                          2,243
CORPORATE EXECUTIVE BOARD       COM    21988R102    2,983,248   100,109   SH         SOLE         1    100,109
CORPORATE EXECUTIVE BRD CO      COM    21988R102          328        11   SH         DEFINED      3                             11
CORPORATE OFFICE PPTYS TR       COM    22002T108        3,550       163   SH         DEFINED      2                            163
CORPORATE OFFICE PROPERTIE      COM    22002T108    3,431,984   157,575   SH         SOLE         1    157,575
CORRECTIONS CORP AMER NEW       COM    22025Y407       34,035     1,500   SH         DEFINED      4                          1,500
CORRECTIONS CORP OF AMERIC      COM    22025Y407    5,349,054   235,745   SH         SOLE         1    235,745
CORVEL CORP                     COM    221006109      216,708     5,099   SH         SOLE         1      5,099
COST PLUS INC/CALIFORNIA        COM    221485105       87,387    13,871   SH         SOLE         1     13,871
COSTAR GROUP INC                COM    22160N109      959,834    18,469   SH         SOLE         1     18,469
COSTCO COMPANIES INC            CNV    22160QAC6        1,865         1   PRN        DEFINED      2                              1
COSTCO WHOLESALE CORP           COM    22160K105   15,886,525   193,455   SH         SOLE         1    193,455
COSTCO WHSL CORP NEW            COM    22160K105       12,073       147   SH         DEFINED      4                            147
COSTCO WHSL CORP NEW            COM    22160K105      195,097     2,375   SH         DEFINED      3                          2,375
COSTCO WHSL CORP NEW            COM    22160K105      100,151     1,219   SH         DEFINED      2                          1,219
COTT CORPORATION                COM    22163N106    5,068,002   744,200   SH         SOLE         1    744,200
COURIER CORP                    COM    222660102       49,174     7,519   SH         SOLE         1      7,519
COUSINS PPTYS INC               COM    222795106        2,182       373   SH         DEFINED      4                            373
COUSINS PROPERTIES INC          COM    222795106    1,704,737   291,408   SH         SOLE         1    291,408
COVANCE INC                     COM    222816100    6,030,988   132,695   SH         SOLE         1    132,695
COVANCE INC                     COM    222816100        2,454        54   SH         DEFINED      3                             54
COVANCE INC                     COM    222816100        2,045        45   SH         DEFINED      2                             45
COVANTA HLDG CORP               COM    22282E102        3,038       200   SH         DEFINED      3                            200
COVANTA HOLDING CORP            COM    22282E102       49,535     3,261   SH         SOLE         1      3,261
COVENANT TRANSPORT GRP CL       COM    22284P105       22,302     6,110   SH         SOLE         1      6,110
COVENTRY HEALTH CARE INC        COM    222862104    2,942,826   102,146   SH         SOLE         1    102,146
COVENTRY HEALTH CARE INC        COM    222862104        6,914       240   SH         DEFINED      3                            240
COVENTRY HEALTH CARE INC        COM    222862104       89,484     3,106   SH         DEFINED      2                          3,106
COVIDIEN PLC                    COM    G2554F113    9,270,658   210,219   SH         SOLE         1    210,219
COVIDIEN PLC                    COM    G2554F113       69,546     1,577   SH         DEFINED      4                          1,577
COVIDIEN PLC                    COM    G2554F113       21,918       497   SH         DEFINED      3                            497
COVIDIEN PLC                    COM    G2554F113       13,230       300   SH         DEFINED      2                            300
COWEN GROUP INC CLASS A         COM    223622101      132,327    48,829   SH         SOLE         1     48,829
CPFL ENERGIA S A                COM    126153105       36,548     1,650   SH         DEFINED      4                          1,650
CPFL ENERGIA S A                COM    126153105      145,902     6,587   SH         DEFINED      3                          6,587
CPFL ENERGIA S A                COM    126153105        8,860       400   SH         DEFINED      2                            400
CR BARD INC                     COM    067383109    2,381,963    27,210   SH         SOLE         1     27,210
CRA INTERNATIONAL INC           COM    12618T105      158,519     7,922   SH         SOLE         1      7,922
CRACKER BARREL OLD COUNTRY      COM    22410J106      753,704    18,805   SH         SOLE         1     18,805
CRACKER BARREL OLD CTRY STOR    COM    22410J106        2,002        50   SH         DEFINED      4                             50
CRACKER BARREL OLD CTRY STOR    COM    22410J106       16,012       400   SH         DEFINED      3                            400
CRAFT BREWERS ALLIANCE INC      COM    224122101       42,653     7,603   SH         SOLE         1      7,603
CRANE CO                        COM    224399105    8,974,393   251,454   SH         SOLE         1    251,454
CRAWFORD & CO                   COM    224633107        1,624       303   SH         DEFINED      4                            303
CRAWFORD & CO                   COM    224633206        1,142       303   SH         DEFINED      4                            303
CRAWFORD + CO   CL B            COM    224633107      100,913    18,827   SH         SOLE         1     18,827
CRAY INC                        COM    225223304      140,311    26,424   SH         SOLE         1     26,424
CREDICORP LTD                   COM    G2519Y108       24,433       265   SH         DEFINED      4                            265
CREDIT ACCEPTANCE CORP          COM    225310101      313,948     4,878   SH         SOLE         1      4,878
CREDIT SUISSE ASSET MGMT INC    COM    224916106       43,125    12,500   SH         DEFINED      3                         12,500
CREDIT SUISSE ASSET MGMT INC    COM    224916106       15,974     4,630   SH         DEFINED      2                          4,630
CREDIT SUISSE GROUP             COM    225401108          289        11   SH         DEFINED      3                             11
CREDIT SUISSE NASSAU BRH        COM    22542D795      539,648    98,476   SH         DEFINED      3                         98,476






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
CREDIT SUISSE NASSAU BRH        COM    22542D795       72,626    13,253   SH         DEFINED      2                         13,253
CREDO PETE CORP                 COM    225439207        4,190       500   SH         DEFINED      4                            500
CREE INC                        COM    225447101    6,814,736   262,307   SH         SOLE         1    262,307
CREE INC                        COM    225447101       12,211       470   SH         DEFINED      4                            470
CREE INC                        COM    225447101        5,274       203   SH         DEFINED      3                            203
CREE INC                        COM    225447101        5,196       200   SH         DEFINED      2                            200
CRESTWOOD MIDSTREAM PRTNERS     COM    226372100        7,716       300   SH         DEFINED      4                            300
CRESTWOOD MIDSTREAM PRTNERS     COM    226372100        2,572       100   SH         DEFINED      3                            100
CRESTWOOD MIDSTREAM PRTNERS     COM    226372100       12,860       500   SH         DEFINED      2                            500
CREXUS INVESTMENT CORP          COM    226553105      370,713    41,747   SH         SOLE         1     41,747
CREXUS INVT CORP                COM    226553105        8,880     1,000   SH         DEFINED      4                          1,000
CRH PLC                         COM    12626K203          776        50   SH         DEFINED      4                             50
CRIMSON EXPLORATION INC         COM    22662K207       34,275    15,942   SH         SOLE         1     15,942
CROCS INC                       COM    227046109    1,666,557    70,408   SH         SOLE         1     70,408
CROCS INC                       COM    227046109       18,731       791   SH         DEFINED      4                            791
CROCS INC                       COM    227046109      170,496     7,200   SH         DEFINED      3                          7,200
CROSS COUNTRY HEALTHCARE I      COM    227483104       96,387    23,059   SH         SOLE         1     23,059
CROSS TIMBERS RTY TR            COM    22757R109      252,546     5,665   SH         DEFINED      3                          5,665
CROSSTEX ENERGY INC             COM    22765Y104      399,695    29,651   SH         SOLE         1     29,651
CROSSTEX ENERGY INC             COM    22765Y104       35,048     2,600   SH         DEFINED      3                          2,600
CROSSTEX ENERGY L P             COM    22765U102       30,818     1,900   SH         DEFINED      3                          1,900
CROWN CASTLE INTL CORP          COM    228227104      180,127     4,429   SH         SOLE         1      4,429
CROWN CASTLE INTL CORP          COM    228227104          976        24   SH         DEFINED      3                             24
CROWN HOLDINGS INC              COM    228368106       72,974     2,384   SH         SOLE         1      2,384
CROWN HOLDINGS INC              COM    228368106       24,488       800   SH         DEFINED      2                            800
CROWN MEDIA HOLDINGS CLASS      COM    228411104       36,439    25,482   SH         SOLE         1     25,482
CRYOLIFE INC                    COM    228903100      102,812    22,898   SH         SOLE         1     22,898
CSG SYSTEMS INTL INC            COM    126349109      358,331    28,349   SH         SOLE         1     28,349
CSP INC                         COM    126389105        1,360       400   SH         DEFINED      2                            400
CSR PLC SPON ADR W/I            COM    12640Y205       71,729     5,377   SH         SOLE         1      5,377
CSS INDS INC                    COM    125906107       33,360     2,000   SH         DEFINED      2                          2,000
CSS INDUSTRIES INC              COM    125906107       98,762     5,921   SH         SOLE         1      5,921
CSX CORP                        COM    126408103    8,476,311   454,007   SH         SOLE         1    454,007
CSX CORP                        COM    126408103       66,353     3,554   SH         DEFINED      4                          3,554
CSX CORP                        COM    126408103      525,288    28,135   SH         DEFINED      3                         28,135
CSX CORP                        COM    126408103       44,808     2,400   SH         DEFINED      2                          2,400
CTC MEDIA INC                   COM    12642X106       46,894     5,269   SH         DEFINED      4                          5,269
CTRIP COM INTL LTD              COM    22943F100       14,823       461   SH         DEFINED      4                            461
CTRIP COM INTL LTD              COM    22943F100       50,162     1,560   SH         DEFINED      3                          1,560
CTRIP.COM INTERNATIONAL AD      COM    22943F100      244,705     7,609   SH         SOLE         1      7,609
CTS CORP                        COM    126501105      228,697    28,130   SH         SOLE         1     28,130
CUBESMART                       COM    229663109      619,542    72,631   SH         SOLE         1     72,631
CUBIC CORP                      COM    229669106      505,605    12,941   SH         SOLE         1     12,941
CUBIST PHARMACEUTICALS INC      COM    229678107    1,738,133    49,211   SH         SOLE         1     49,211
CUBIST PHARMACEUTICALS INC      COM    229678107        1,413        40   SH         DEFINED      4                             40
CUBIST PHARMACEUTICALS INC      COM    229678107        1,943        55   SH         DEFINED      3                             55
CULLEN FROST BANKERS INC        COM    229899109       41,778       911   SH         DEFINED      2                            911
CULLEN/FROST BANKERS INC        COM    229899109    6,164,088   134,411   SH         SOLE         1    134,411
CUMMINS INC                     COM    231021106   17,771,258   217,625   SH         SOLE         1    217,625
CUMMINS INC                     COM    231021106      224,565     2,750   SH         DEFINED      4                          2,750
CUMMINS INC                     COM    231021106      514,691     6,303   SH         DEFINED      3                          6,303
CUMMINS INC                     COM    231021106      244,735     2,997   SH         DEFINED      2                          2,997
CUMULUS MEDIA INC CL A          COM    231082108       47,999    16,901   SH         SOLE         1     16,901
CURIS INC                       COM    231269101      176,217    55,765   SH         SOLE         1     55,765
CURIS INC                       COM    231269101        1,896       600   SH         DEFINED      3                            600
CURRENCYSHARES AUSTRALIAN DL    COM    23129U101       31,554       325   SH         DEFINED      4                            325
CURRENCYSHARES AUSTRALIAN DL    COM    23129U101       88,740       914   SH         DEFINED      3                            914
CURRENCYSHARES AUSTRALIAN DL    COM    23129U101       22,816       235   SH         DEFINED      2                            235
CURRENCYSHARES CDN DLR TR       COM    23129X105       18,976       200   SH         DEFINED      4                            200
CURRENCYSHARES CDN DLR TR       COM    23129X105       37,952       400   SH         DEFINED      3                            400
CURRENCYSHARES CDN DLR TR       COM    23129X105        7,590        80   SH         DEFINED      2                             80
CURRENCYSHARES SWEDISH KRONA    COM    23129R108       54,354       374   SH         DEFINED      3                            374
CURRENCYSHARES SWISS FRANC T    COM    23129V109       31,952       293   SH         DEFINED      3                            293
CURRENCYSHARES SWISS FRANC T    COM    23129V109      103,925       953   SH         DEFINED      2                            953
CURRENCYSHS JAPANESE YEN TR     COM    23130A102      254,961     1,995   SH         DEFINED      4                          1,995
CURRENCYSHS JAPANESE YEN TR     COM    23130A102       77,319       605   SH         DEFINED      3                            605
CURRENCYSHS JAPANESE YEN TR     COM    23130A102      478,867     3,747   SH         DEFINED      2                          3,747
CURTISS WRIGHT CORP             COM    231561101    1,096,780    38,043   SH         SOLE         1     38,043
CUSHING MLP TOTAL RETURN FD     COM    231631102    2,215,400   253,478   SH         DEFINED      3                        253,478
CVB FINANCIAL CORP              COM    126600105      501,673    65,237   SH         SOLE         1     65,237
CVB FINL CORP                   COM    126600105        7,690     1,000   SH         DEFINED      3                          1,000
CVR ENERGY INC                  COM    12662P108    1,355,518    64,121   SH         SOLE         1     64,121
CVR PARTNERS LP                 COM    126633106      112,944     4,800   SH         DEFINED      4                          4,800
CVR PARTNERS LP                 COM    126633106       40,001     1,700   SH         DEFINED      3                          1,700
CVR PARTNERS LP                 COM    126633106        9,412       400   SH         DEFINED      2                            400
CVS CAREMARK CORP               COM    126650100   19,850,951   591,154   SH         SOLE         1    591,154
CVS CAREMARK CORPORATION        COM    126650100      198,013     5,895   SH         DEFINED      4                          5,895
CVS CAREMARK CORPORATION        COM    126650100      254,828     7,586   SH         DEFINED      3                          7,586
CVS CAREMARK CORPORATION        COM    126650100       29,929       891   SH         DEFINED      2                            891
CYANOTECH CORP                  COM    232437301       15,030     4,000   SH         DEFINED      3                          4,000
CYBERONICS INC                  COM    23251P102      649,259    22,942   SH         SOLE         1     22,942






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
CYMER INC                       COM    232572107      929,612    25,003   SH         SOLE         1     25,003
CYNOSURE INC                    COM    232577205       10,090     1,000   SH         DEFINED      2                          1,000
CYNOSURE INC A                  COM    232577205       71,235     7,060   SH         SOLE         1      7,060
CYPRESS SEMICONDUCTOR CORP      COM    232806109    7,852,439   524,545   SH         SOLE         1    524,545
CYPRESS SEMICONDUCTOR CORP      COM    232806109       17,964     1,200   SH         DEFINED      3                          1,200
CYS INVESTMENTS INC             COM    12673A108      729,100    60,306   SH         SOLE         1     60,306
CYS INVTS INC                   COM    12673A108       12,090     1,000   SH         DEFINED      2                          1,000
CYTEC INDUSTRIES INC            COM    232820100    3,825,762   108,872   SH         SOLE         1    108,872
CYTORI THERAPEUTICS INC         COM    23283K105      104,347    35,372   SH         SOLE         1     35,372
CYTORI THERAPEUTICS INC         COM    23283K105       37,347    12,660   SH         DEFINED      2                         12,660
CYTORI THERAPEUTICS INC         COM    23283K113        6,800     4,000   SH         DEFINED      2                          4,000
D R HORTON INC                  COM    23331A109        2,712       300   SH         DEFINED      4                            300
D R HORTON INC                  COM    23331A109        2,947       326   SH         DEFINED      3                            326
DAKTRONICS INC                  COM    234264109      244,925    28,546   SH         SOLE         1     28,546
DAKTRONICS INC                  COM    234264109       10,296     1,200   SH         DEFINED      2                          1,200
DANA HOLDING CORP               COM    235825205    3,599,694   342,828   SH         SOLE         1    342,828
DANAHER CORP                    COM    235851102   13,537,309   322,778   SH         SOLE         1    322,778
DANAHER CORP DEL                COM    235851102       10,695       255   SH         DEFINED      3                            255
DANAHER CORP DEL                COM    235851102          168         4   SH         DEFINED      2                              4
DANAOS CORPORATION              COM    Y1968P105        3,320     1,000   SH         DEFINED      3                          1,000
DARDEN RESTAURANTS INC          COM    237194105    3,634,263    85,012   SH         SOLE         1     85,012
DARDEN RESTAURANTS INC          COM    237194105        2,907        68   SH         DEFINED      4                             68
DARDEN RESTAURANTS INC          COM    237194105       31,460       736   SH         DEFINED      3                            736
DARDEN RESTAURANTS INC          COM    237194105       77,456     1,812   SH         DEFINED      2                          1,812
DARLING INTERNATIONAL INC       COM    237266101    1,206,726    95,848   SH         SOLE         1     95,848
DAVITA INC                      COM    23918K108    2,318,539    36,996   SH         SOLE         1     36,996
DAWSON GEOPHYSICAL CO           COM    239359102      136,387     5,784   SH         SOLE         1      5,784
DCA TOTAL RETURN FD             COM    233066109        4,950     1,500   SH         DEFINED      3                          1,500
DCP MIDSTREAM PARTNERS LP       COM    23311P100       76,038     1,900   SH         DEFINED      4                          1,900
DCP MIDSTREAM PARTNERS LP       COM    23311P100       15,008       375   SH         DEFINED      3                            375
DCP MIDSTREAM PARTNERS LP       COM    23311P100        4,002       100   SH         DEFINED      2                            100
DCT INDUSTRIAL TRUST INC        COM    233153105      787,711   179,433   SH         SOLE         1    179,433
DCT INDUSTRIAL TRUST INC        COM    233153105       25,919     5,904   SH         DEFINED      2                          5,904
DDI CORP                        COM    233162502       79,799    11,022   SH         SOLE         1     11,022
DDR CORP                        COM    23317H102       76,420     7,011   SH         SOLE         1      7,011
DDR CORP                        COM    23317H102        4,436       407   SH         DEFINED      4                            407
DDR CORP                        COM    23317H102        7,870       722   SH         DEFINED      3                            722
DDR CORP                        COM    23317H102        8,557       785   SH         DEFINED      2                            785
DEALERTRACK HOLDINGS INC        COM    242309102      528,204    33,708   SH         SOLE         1     33,708
DEAN FOODS CO                   COM    242370104      771,690    87,000   SH         SOLE         1     87,000
DEAN FOODS CO NEW               COM    242370104       15,239     1,718   SH         DEFINED      4                          1,718
DEAN FOODS CO NEW               COM    242370104        1,535       173   SH         DEFINED      2                            173
DECKERS OUTDOOR CORP            COM    243537107   18,718,028   200,708   SH         SOLE         1    200,708
DECKERS OUTDOOR CORP            COM    243537107        4,472        48   SH         DEFINED      4                             48
DECKERS OUTDOOR CORP            COM    243537107       10,248       110   SH         DEFINED      3                            110
DEERE & CO                      COM    244199105      742,297    11,496   SH         DEFINED      4                         11,496
DEERE & CO                      COM    244199105      812,446    12,582   SH         DEFINED      3                         12,582
DEERE & CO                      COM    244199905          141         3   SH  C      DEFINED      3                              3
DEERE & CO                      COM    244199105      532,199     8,242   SH         DEFINED      2                          8,242
DEERE + CO                      COM    244199105   14,051,207   217,612   SH         SOLE         1    217,612
DELAWARE ENHANCED GBL DIV &     COM    246060107       16,155     1,500   SH         DEFINED      3                          1,500
DELAWARE INV GLBL DIV & INC     COM    245916101       41,254     6,774   SH         DEFINED      3                          6,774
DELCATH SYSTEMS INC             COM    24661P104      117,231    35,099   SH         SOLE         1     35,099
DELEK US HLDGS INC              COM    246647101       18,032     1,600   SH         DEFINED      4                          1,600
DELEK US HOLDINGS INC           COM    246647101      116,983    10,380   SH         SOLE         1     10,380
DELL INC                        COM    24702R101   10,310,808   728,679   SH         SOLE         1    728,679
DELL INC                        COM    24702R101       25,183     1,781   SH         DEFINED      4                          1,781
DELL INC                        COM    24702R101        3,309       234   SH         DEFINED      3                            234
DELL INC                        COM    24702R101       54,580     3,860   SH         DEFINED      2                          3,860
DELPHI FINANCIAL GROUP CL       COM    247131105      863,791    40,139   SH         SOLE         1     40,139
DELTA AIR LINES INC             COM    247361702    1,025,040   136,672   SH         SOLE         1    136,672
DELTA AIR LINES INC DEL         COM    247361702           38         5   SH         DEFINED      4                              5
DELTA AIR LINES INC DEL         COM    247361702      164,318    21,909   SH         DEFINED      3                         21,909
DELTA AIR LINES INC DEL         COM    247361702          150        20   SH         DEFINED      2                             20
DELTA APPAREL INC               COM    247368103       81,475     5,173   SH         SOLE         1      5,173
DELTEK INC                      COM    24784L105       97,416    16,209   SH         SOLE         1     16,209
DELTIC TIMBER CORP              COM    247850100      527,810     8,844   SH         SOLE         1      8,844
DELUXE CORP                     COM    248019101    3,716,057   199,788   SH         SOLE         1    199,788
DELUXE CORP                     COM    248019101      301,525    16,211   SH         DEFINED      4                         16,211
DEMAND MEDIA INC                COM    24802N109       46,184     5,773   SH         SOLE         1      5,773
DEMANDTEC INC                   COM    24802R506      154,285    23,591   SH         SOLE         1     23,591
DENALI FD INC                   COM    24823A102       13,380     1,000   SH         DEFINED      3                          1,000
DENBURY RESOURCES INC           COM    247916208    1,847,314   160,636   SH         SOLE         1    160,636
DENDREON CORP                   COM    24823Q107       18,225     2,025   SH         SOLE         1      2,025
DENDREON CORP                   COM    24823Q107        9,000     1,000   SH         DEFINED      4                          1,000
DENDREON CORP                   COM    24823Q107      207,495    23,055   SH         DEFINED      3                         23,055
DENDREON CORP                   COM    24823Q907          510         3   SH  C      DEFINED      3                              3
DENDREON CORP                   COM    24823Q107       92,475    10,275   SH         DEFINED      2                         10,275
DENISON MINES CORP              COM    248356107        1,532     1,445   SH         DEFINED      3                          1,445
DENNY S CORP                    COM    24869P104      240,579    72,246   SH         SOLE         1     72,246
DENTSPLY INTERNATIONAL INC      COM    249030107    1,635,900    53,304   SH         SOLE         1     53,304






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
DENTSPLY INTL INC NEW           COM    249030107          491        16   SH         DEFINED      3                             16
DEPOMED INC                     COM    249908104      211,691    39,202   SH         SOLE         1     39,202
DESTINATION MATERNITY CORP      COM    25065D100    2,342,984   182,050   SH         SOLE         1    182,050
DEUTSCHE BANK AG                COM    D18190898          277         8   SH         DEFINED      3                              8
DEUTSCHE BANK AG                COM    D18190898       47,416     1,370   SH         DEFINED      2                          1,370
DEUTSCHE BK AG LDN BRH          COM    25154H467        8,853       250   SH         DEFINED      4                            250
DEUTSCHE BK AG LDN BRH          COM    25154H749       34,768       662   SH         DEFINED      4                            662
DEUTSCHE BK AG LDN BRH          COM    25154H459        9,372       600   SH         DEFINED      3                            600
DEUTSCHE BK AG LDN BRH          COM    25154H756       10,560     2,000   SH         DEFINED      3                          2,000
DEUTSCHE BK AG LDN BRH          COM    25154H749       13,813       263   SH         DEFINED      2                            263
DEUTSCHE BK AG LONDON BRH       COM    25154K866      514,876    45,125   SH         DEFINED      4                         45,125
DEUTSCHE BK AG LONDON BRH       COM    25154W506        4,526       200   SH         DEFINED      2                            200
DEVON ENERGY CORP NEW           COM    25179M103       12,918       233   SH         DEFINED      4                            233
DEVON ENERGY CORP NEW           COM    25179M103       93,072     1,679   SH         DEFINED      3                          1,679
DEVON ENERGY CORP NEW           COM    25179M103      166,537     3,004   SH         DEFINED      2                          3,004
DEVON ENERGY CORPORATION        COM    25179M103   10,852,546   195,753   SH         SOLE         1    195,753
DEVRY INC                       COM    251893103      748,070    20,240   SH         SOLE         1     20,240
DEVRY INC DEL                   COM    251893103       15,634       423   SH         DEFINED      3                            423
DEXCOM INC                      COM    252131107      587,868    48,989   SH         SOLE         1     48,989
DEXCOM INC                      COM    252131107        1,200       100   SH         DEFINED      3                            100
DFC GLOBAL CORP                 COM    23324T107      693,497    31,739   SH         SOLE         1     31,739
DG FASTCHANNEL INC              COM    23326R109      380,663    22,458   SH         SOLE         1     22,458
DG FASTCHANNEL INC              COM    23326R109       25,425     1,500   SH         DEFINED      3                          1,500
DHT HOLDINGS INC                COM    Y2065G105       96,025    47,071   SH         SOLE         1     47,071
DHT HOLDINGS INC                COM    Y2065G105       61,200    30,000   SH         DEFINED      4                         30,000
DHT HOLDINGS INC                COM    Y2065G105          204       100   SH         DEFINED      3                            100
DIAGEO P L C                    COM    25243Q205      155,064     2,042   SH         DEFINED      4                          2,042
DIAGEO P L C                    COM    25243Q205      187,033     2,463   SH         DEFINED      3                          2,463
DIAGEO P L C                    COM    25243Q205       97,539     1,285   SH         DEFINED      2                          1,285
DIALOGIC INC                    COM    25250T100       20,872    11,282   SH         SOLE         1     11,282
DIAMOND FOODS INC               COM    252603105    1,439,172    18,037   SH         SOLE         1     18,037
DIAMOND FOODS INC               COM    252603105       15,960       200   SH         DEFINED      3                            200
DIAMOND HILL INVESTMENT GR      COM    25264R207      129,967     1,873   SH         SOLE         1      1,873
DIAMOND HILL INVESTMENT GROU    COM    25264R207        6,939       100   SH         DEFINED      3                            100
DIAMOND OFFSHORE DRILLING       COM    25271C102    1,543,777    28,202   SH         SOLE         1     28,202
DIAMOND OFFSHORE DRILLING IN    COM    25271C102      121,304     2,216   SH         DEFINED      4                          2,216
DIAMOND OFFSHORE DRILLING IN    COM    25271C102      583,953    10,668   SH         DEFINED      3                         10,668
DIAMOND OFFSHORE DRILLING IN    COM    25271C102        3,230        59   SH         DEFINED      2                             59
DIAMONDROCK HOSPITALITY CO      COM    252784301      958,427   137,114   SH         SOLE         1    137,114
DIANA CONTAINERSHIPS INC        COM    Y2069P101          151        33   SH         DEFINED      3                             33
DIANA SHIPPING INC              COM    Y2066G104          742       100   SH         DEFINED      4                            100
DIANA SHIPPING INC              COM    Y2066G104        7,791     1,050   SH         DEFINED      3                          1,050
DICE HOLDINGS INC               COM    253017107      276,625    35,374   SH         SOLE         1     35,374
DICK S SPORTING GOODS INC       COM    253393102    7,026,935   210,010   SH         SOLE         1    210,010
DIEBOLD INC                     COM    253651103    3,879,295   141,014   SH         SOLE         1    141,014
DIGI INTERNATIONAL INC          COM    253798102      228,525    20,775   SH         SOLE         1     20,775
DIGI INTL INC                   COM    253798102        2,200       200   SH         DEFINED      3                            200
DIGIMARC CORP                   COM    25381B101      116,164     4,577   SH         SOLE         1      4,577
DIGITAL REALTY TRUST INC        COM    253868103       79,651     1,444   SH         SOLE         1      1,444
DIGITAL RIV INC                 COM    25388B104        4,146       200   SH         DEFINED      3                            200
DIGITAL RIVER INC               COM    25388B104    2,383,142   114,961   SH         SOLE         1    114,961
DIGITAL RLTY TR INC             COM    253868103        5,516       100   SH         DEFINED      4                            100
DIGITALGLOBE INC                COM    25389M877      500,186    25,743   SH         SOLE         1     25,743
DIGITALGLOBE INC                COM    25389M877          972        50   SH         DEFINED      3                             50
DILLARDS INC                    COM    254067101        8,696       200   SH         DEFINED      3                            200
DILLARDS INC CL A               COM    254067101       41,002       943   SH         SOLE         1        943
DIME COMMUNITY BANCSHARES       COM    253922108    2,940,982   290,324   SH         SOLE         1    290,324
DINEEQUITY INC                  COM    254423106      489,400    12,715   SH         SOLE         1     12,715
DIODES INC                      COM    254543101      521,006    29,074   SH         SOLE         1     29,074
DIRECTV                         COM    25490A101       48,653     1,151   SH         DEFINED      4                          1,151
DIRECTV                         COM    25490A101       15,090       357   SH         DEFINED      3                            357
DIRECTV                         COM    25490A101       29,547       699   SH         DEFINED      2                            699
DIRECTV CLASS A                 COM    25490A101   15,114,684   357,744   SH         SOLE         1    357,744
DIREXION SHS ETF TR             COM    25459W250       36,400     1,250   SH         DEFINED      4                          1,250
DIREXION SHS ETF TR             COM    25459W516        4,460       420   SH         DEFINED      3                            420
DIREXION SHS ETF TR             COM    25459W532       30,938     2,000   SH         DEFINED      3                          2,000
DIREXION SHS ETF TR             COM    25459W698        6,435       500   SH         DEFINED      3                            500
DIREXION SHS ETF TR             COM    25459W771        2,670       160   SH         DEFINED      3                            160
DIREXION SHS ETF TR             COM    25459W888        6,286       200   SH         DEFINED      3                            200
DIREXION SHS ETF TR             COM    25459W151       37,117       802   SH         DEFINED      2                            802
DISCOVER FINANCIAL SERVICE      COM    254709108    5,489,175   239,284   SH         SOLE         1    239,284
DISCOVER FINL SVCS              COM    254709108        4,198       183   SH         DEFINED      3                            183
DISCOVERY COMMUNICATIONS A      COM    25470F104    3,242,618    86,194   SH         SOLE         1     86,194
DISCOVERY COMMUNICATNS NEW      COM    25470F104       68,017     1,808   SH         DEFINED      4                          1,808
DISCOVERY COMMUNICATNS NEW      COM    25470F302          281         8   SH         DEFINED      4                              8
DISCOVERY COMMUNICATNS NEW      COM    25470F104        4,514       120   SH         DEFINED      2                            120
DISCOVERY LABORATORIES INC N    COM    254668403          653       333   SH         DEFINED      3                            333
DISCOVERY LABORATORIES INC N    COM    254668403          194        99   SH         DEFINED      2                             99
DISH NETWORK CORP               COM    25470M109        6,212       248   SH         DEFINED      3                            248
DISH NETWORK CORP A             COM    25470M109       93,800     3,743   SH         SOLE         1      3,743
DISNEY WALT CO                  COM    254687106      125,736     4,169   SH         DEFINED      4                          4,169






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
DISNEY WALT CO                  COM    254687106      283,866     9,412   SH         DEFINED      3                          9,412
DISNEY WALT CO                  COM    254687106      371,109    12,305   SH         DEFINED      2                         12,305
DIVIDEND & INCOME FD INC        COM    25538A105        9,126     2,600   SH         DEFINED      4                          2,600
DNP SELECT INCOME FD            COM    23325P104      116,880    11,688   SH         DEFINED      3                         11,688
DNP SELECT INCOME FD            COM    23325P104      256,850    25,685   SH         DEFINED      2                         25,685
DOLAN CO/THE                    COM    25659P402      223,473    24,858   SH         SOLE         1     24,858
DOLBY LABORATORIES INC          COM    25659T107        2,744       100   SH         DEFINED      4                            100
DOLBY LABORATORIES INC          COM    25659T107        5,708       208   SH         DEFINED      3                            208
DOLBY LABORATORIES INC          COM    25659T107        2,168        79   SH         DEFINED      2                             79
DOLBY LABORATORIES INC CL       COM    25659T107       20,031       730   SH         SOLE         1        730
DOLE FOOD CO INC                COM    256603101      262,010    26,201   SH         SOLE         1     26,201
DOLLAR GEN CORP NEW             COM    256677105        9,440       250   SH         DEFINED      4                            250
DOLLAR GEN CORP NEW             COM    256677105       15,104       400   SH         DEFINED      3                            400
DOLLAR GEN CORP NEW             COM    256677105        1,586        42   SH         DEFINED      2                             42
DOLLAR GENERAL CORP             COM    256677105    1,830,756    48,484   SH         SOLE         1     48,484
DOLLAR THRIFTY AUTOMOTIVE       COM    256743105    1,189,563    21,129   SH         SOLE         1     21,129
DOLLAR TREE INC                 COM    256746108   20,477,690   272,636   SH         SOLE         1    272,636
DOLLAR TREE INC                 COM    256746108      485,329     6,459   SH         DEFINED      3                          6,459
DOLLAR TREE INC                 COM    256746108      242,702     3,230   SH         DEFINED      2                          3,230
DOMINION RES BLACK WARRIOR T    COM    25746Q108        3,540       400   SH         DEFINED      3                            400
DOMINION RES BLACK WARRIOR T    COM    25746Q108        5,903       667   SH         DEFINED      2                            667
DOMINION RES INC VA NEW         COM    25746U109    1,687,493    33,238   SH         DEFINED      4                         33,238
DOMINION RES INC VA NEW         COM    25746U109    1,280,115    25,214   SH         DEFINED      3                         25,214
DOMINION RES INC VA NEW         COM    25746U109      110,729     2,181   SH         DEFINED      2                          2,181
DOMINION RESOURCES INC/VA       COM    25746U109    8,703,146   171,423   SH         SOLE         1    171,423
DOMINO S PIZZA INC              COM    25754A201    1,228,730    45,091   SH         SOLE         1     45,091
DOMINOS PIZZA INC               COM    25754A201       12,944       475   SH         DEFINED      4                            475
DOMINOS PIZZA INC               COM    25754A201       19,075       700   SH         DEFINED      3                            700
DOMTAR CORP                     COM    257559203    6,699,748    98,280   SH         SOLE         1     98,280
DONALDSON CO INC                COM    257651109    9,030,054   164,782   SH         SOLE         1    164,782
DONALDSON INC                   COM    257651109       10,960       200   SH         DEFINED      3                            200
DONEGAL GROUP INC CL A          COM    257701201       68,038     5,651   SH         SOLE         1      5,651
DONNELLEY R R & SONS CO         COM    257867101        9,884       700   SH         DEFINED      4                            700
DONNELLEY R R & SONS CO         COM    257867101       19,086     1,352   SH         DEFINED      2                          1,352
DORAL FINANCIAL CORP            COM    25811P886      101,342    92,974   SH         SOLE         1     92,974
DORCHESTER MINERALS LP          COM    25820R105       30,392     1,278   SH         DEFINED      4                          1,278
DORCHESTER MINERALS LP          COM    25820R105        9,512       400   SH         DEFINED      3                            400
DORMAN PRODUCTS INC             COM    258278100      261,332     7,900   SH         SOLE         1      7,900
DORMAN PRODUCTS INC             COM    258278100       67,753     2,050   SH         DEFINED      2                          2,050
DOT HILL SYSTEMS CORP           COM    25848T109       62,307    41,263   SH         SOLE         1     41,263
DOUBLE EAGLE PETE CO            COM    258570209        3,185       500   SH         DEFINED      2                            500
DOUGLAS DYNAMICS INC            COM    25960R105      173,961    13,612   SH         SOLE         1     13,612
DOUGLAS EMMETT INC              COM    25960P109       59,115     3,457   SH         SOLE         1      3,457
DOVER CORP                      COM    260003108    2,765,524    59,346   SH         SOLE         1     59,346
DOVER CORP                      COM    260003108       49,070     1,053   SH         DEFINED      4                          1,053
DOVER CORP                      COM    260003108       13,141       282   SH         DEFINED      3                            282
DOW 30SM ENHANCED PREM & INC    COM    260537105        9,520     1,000   SH         DEFINED      3                          1,000
DOW CHEM CO                     COM    260543103       30,950     1,378   SH         DEFINED      4                          1,378
DOW CHEM CO                     COM    260543103      179,922     8,011   SH         DEFINED      3                          8,011
DOW CHEM CO                     COM    260543103       74,222     3,305   SH         DEFINED      2                          3,305
DOW CHEMICAL CO/THE             COM    260543103    8,900,561   396,285   SH         SOLE         1    396,285
DPL INC                         COM    233293109    7,814,790   259,283   SH         SOLE         1    259,283
DPL INC                         COM    233293109       24,715       820   SH         DEFINED      4                            820
DPL INC                         COM    233293109       12,840       426   SH         DEFINED      3                            426
DPL INC                         COM    233293109       56,874     1,887   SH         DEFINED      2                          1,887
DR HORTON INC                   COM    23331A109      838,487    92,753   SH         SOLE         1     92,753
DR PEPPER SNAPPLE GROUP IN      COM    26138E109    2,649,217    68,314   SH         SOLE         1     68,314
DR PEPPER SNAPPLE GROUP INC     COM    26138E109          465        12   SH         DEFINED      3                             12
DR PEPPER SNAPPLE GROUP INC     COM    26138E109       22,220       573   SH         DEFINED      2                            573
DR REDDYS LABS LTD              COM    256135203       16,301       547   SH         DEFINED      4                            547
DRAGONWAVE INC                  COM    26144M103        3,300     1,000   SH         DEFINED      3                          1,000
DREAMWORKS ANIMATION SKG A      COM    26153C103    2,833,971   155,884   SH         SOLE         1    155,884
DREAMWORKS ANIMATION SKG INC    COM    26153C103        2,091       115   SH         DEFINED      2                            115
DRESSER RAND GROUP INC          COM    261608103    7,063,042   174,267   SH         SOLE         1    174,267
DREW INDUSTRIES INC             COM    26168L205      312,587    15,645   SH         SOLE         1     15,645
DREYFUS STRATEGIC MUN BD FD     COM    26202F107        4,691       548   SH         DEFINED      4                            548
DREYFUS STRATEGIC MUN BD FD     COM    26202F107    1,885,662   220,288   SH         DEFINED      3                        220,288
DRIL QUIP INC                   COM    262037104    5,380,380    99,803   SH         SOLE         1     99,803
DRIL-QUIP INC                   COM    262037104       16,173       300   SH         DEFINED      3                            300
DRYSHIPS INC                    COM    Y2109Q101        3,744     1,600   SH         DEFINED      4                          1,600
DRYSHIPS INC                    COM    Y2109Q101        2,106       900   SH         DEFINED      3                            900
DRYSHIPS INC                    COM    Y2109Q101        6,002     2,565   SH         DEFINED      2                          2,565
DSP GROUP INC                   COM    23332B106      113,227    19,191   SH         SOLE         1     19,191
DST SYS INC DEL                 COM    233326107      124,127     2,832   SH         DEFINED      4                          2,832
DST SYS INC DEL                 COM    233326107      128,027     2,921   SH         DEFINED      3                          2,921
DST SYS INC DEL                 COM    233326107          877        20   SH         DEFINED      2                             20
DST SYSTEMS INC                 COM    233326107    3,401,515    77,607   SH         SOLE         1     77,607
DSW INC                         COM    23334L102        1,616        35   SH         DEFINED      2                             35
DSW INC CLASS A                 COM    23334L102       15,286       331   SH         SOLE         1        331
DTE ENERGY CO                   COM    233331107       44,608       910   SH         DEFINED      4                            910
DTE ENERGY CO                   COM    233331107          735        15   SH         DEFINED      3                             15






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
DTE ENERGY CO                   COM    233331107      264,116     5,388   SH         DEFINED      2                          5,388
DTE ENERGY COMPANY              COM    233331107    2,755,708    56,216   SH         SOLE         1     56,216
DTS INC                         COM    23335C101      353,405    14,233   SH         SOLE         1     14,233
DU PONT (E.I.) DE NEMOURS       COM    263534109   41,143,559 1,029,361   SH         SOLE         1  1,029,361
DU PONT E I DE NEMOURS & CO     COM    263534109      395,789     9,902   SH         DEFINED      4                          9,902
DU PONT E I DE NEMOURS & CO     COM    263534109      489,832    12,255   SH         DEFINED      3                         12,255
DU PONT E I DE NEMOURS & CO     COM    263534109      320,548     8,020   SH         DEFINED      2                          8,020
DUCOMMUN INC                    COM    264147109      115,256     7,694   SH         SOLE         1      7,694
DUFF & PHELPS UTIL CORP BD T    COM    26432K108       13,824     1,200   SH         DEFINED      4                          1,200
DUFF & PHELPS UTIL CORP BD T    COM    26432K108       19,803     1,719   SH         DEFINED      3                          1,719
DUFF & PHELPS UTIL CORP BD T    COM    26432K108        1,037        90   SH         DEFINED      2                             90
DUFF + PHELPS CORP CLASS A      COM    26433B107      236,449    22,181   SH         SOLE         1     22,181
DUKE ENERGY CORP                COM    26441C105    8,050,813   402,742   SH         SOLE         1    402,742
DUKE ENERGY CORP NEW            COM    26441C105      816,444    40,843   SH         DEFINED      4                         40,843
DUKE ENERGY CORP NEW            COM    26441C105      296,925    14,854   SH         DEFINED      3                         14,854
DUKE ENERGY CORP NEW            COM    26441C105      368,316    18,425   SH         DEFINED      2                         18,425
DUKE REALTY CORP                COM    264411505    5,835,071   555,721   SH         SOLE         1    555,721
DUKE REALTY CORP                COM    264411505       29,502     2,810   SH         DEFINED      2                          2,810
DUN & BRADSTREET CORP DEL NE    COM    26483E100       20,400       333   SH         DEFINED      3                            333
DUN + BRADSTREET CORP           COM    26483E100      946,528    15,451   SH         SOLE         1     15,451
DUNKIN BRANDS GROUP INC         COM    265504100        8,310       300   SH         DEFINED      4                            300
DUNKIN BRANDS GROUP INC         COM    265504100       27,340       987   SH         DEFINED      3                            987
DUOYUAN GLOBAL WTR INC          COM    266043108            0       100   SH         DEFINED      2                            100
DUPONT FABROS TECHNOLOGY        COM    26613Q106      845,902    42,961   SH         SOLE         1     42,961
DURECT CORPORATION              COM    266605104       94,892    58,939   SH         SOLE         1     58,939
DUSA PHARMACEUTICALS INC        COM    266898105       66,030    17,846   SH         SOLE         1     17,846
DUSA PHARMACEUTICALS INC        COM    266898105        1,850       500   SH         DEFINED      3                            500
DWS HIGH INCOME OPPORT FD IN    COM    23339M204        2,300       176   SH         DEFINED      3                            176
DWS HIGH INCOME TR              COM    23337C208       36,840     4,000   SH         DEFINED      3                          4,000
DWS MULTI MKT INCOME TR         COM    23338L108       54,692     5,709   SH         DEFINED      3                          5,709
DWS MULTI MKT INCOME TR         COM    23338L108        6,706       700   SH         DEFINED      2                            700
DXP ENTERPRISES INC             COM    233377407      119,495     6,346   SH         SOLE         1      6,346
DYAX CORP                       COM    26746E103       90,841    72,096   SH         SOLE         1     72,096
DYCOM INDUSTRIES INC            COM    267475101    3,038,779   198,613   SH         SOLE         1    198,613
DYNAMIC MATERIALS CORP          COM    267888105      153,358     9,737   SH         SOLE         1      9,737
DYNAMICS RESEARCH CORP          COM    268057106       58,248     6,530   SH         SOLE         1      6,530
DYNAVAX TECHNOLOGIES CORP       COM    268158102      167,666    90,143   SH         SOLE         1     90,143
DYNAVOX INC CLASS A             COM    26817F104       24,678     6,855   SH         SOLE         1      6,855
DYNEGY INC                      COM    26817G300      309,824    75,200   SH         SOLE         1     75,200
DYNEGY INC DEL                  COM    26817G300           37         9   SH         DEFINED      3                              9
DYNEX CAP INC                   COM    26817Q506       41,106     5,100   SH         DEFINED      4                          5,100
DYNEX CAP INC                   COM    26817Q506        8,963     1,112   SH         DEFINED      3                          1,112
DYNEX CAPITAL INC               COM    26817Q506      237,375    29,451   SH         SOLE         1     29,451
E HOUSE CHINA HLDGS LTD         COM    26852W103       10,486     1,811   SH         DEFINED      4                          1,811
E HOUSE CHINA HLDGS LTD         COM    26852W103       14,475     2,500   SH         DEFINED      3                          2,500
E M C CORP MASS                 COM    268648102      121,112     5,770   SH         DEFINED      4                          5,770
E M C CORP MASS                 COM    268648102      440,118    20,968   SH         DEFINED      3                         20,968
E M C CORP MASS                 COM    268648102      138,954     6,620   SH         DEFINED      2                          6,620
E TRADE FINANCIAL CORP          COM    269246401      770,806    84,611   SH         SOLE         1     84,611
E TRADE FINANCIAL CORP          COM    269246401          911       100   SH         DEFINED      2                            100
EAGLE BANCORP INC               COM    268948106      144,077    12,241   SH         SOLE         1     12,241
EAGLE BULK SHIPPING INC         COM    Y2187A101       71,738    45,693   SH         SOLE         1     45,693
EAGLE BULK SHIPPING INC         COM    Y2187A101       16,485    10,500   SH         DEFINED      4                         10,500
EAGLE BULK SHIPPING INC         COM    Y2187A101        7,536     4,800   SH         DEFINED      3                          4,800
EAGLE BULK SHIPPING INC         COM    Y2187A101       12,821     8,166   SH         DEFINED      2                          8,166
EAGLE MATERIALS INC             COM    26969P108      607,459    36,484   SH         SOLE         1     36,484
EAGLE ROCK ENERGY PARTNERS L    COM    26985R104        1,942       200   SH         DEFINED      2                            200
EARTHLINK INC                   COM    270321102    5,309,876   813,151   SH         SOLE         1    813,151
EAST WEST BANCORP INC           COM    27579R104   12,186,405   817,331   SH         SOLE         1    817,331
EAST WEST BANCORP INC           COM    27579R104          239        16   SH         DEFINED      3                             16
EASTGROUP PPTY INC              COM    277276101        3,814       100   SH         DEFINED      4                            100
EASTGROUP PROPERTIES INC        COM    277276101      844,420    22,140   SH         SOLE         1     22,140
EASTMAN CHEM CO                 COM    277432100        1,766        26   SH         DEFINED      2                             26
EASTMAN CHEMICAL CO             COM    277432100    2,336,051    34,088   SH         SOLE         1     34,088
EASTMAN KODAK CO                COM    277461109      608,246   779,702   SH         SOLE         1    779,702
EASTMAN KODAK CO                COM    277461109          312       400   SH         DEFINED      4                            400
EASTMAN KODAK CO                COM    277461109          117       150   SH         DEFINED      3                            150
EASTMAN KODAK CO                COM    277461109        7,801    10,000   SH         DEFINED      2                         10,000
EATON CORP                      COM    278058102    7,696,720   216,809   SH         SOLE         1    216,809
EATON CORP                      COM    278058102      149,661     4,216   SH         DEFINED      4                          4,216
EATON CORP                      COM    278058102       31,702       893   SH         DEFINED      3                            893
EATON CORP                      COM    278058102       95,631     2,694   SH         DEFINED      2                          2,694
EATON VANCE CALIF MUN BD FD     COM    27828A100       97,657     7,959   SH         DEFINED      4                          7,959
EATON VANCE CALIF MUN BD FD     COM    27828A100        1,027        84   SH         DEFINED      3                             84
EATON VANCE CORP                COM    278265103    5,699,739   255,938   SH         SOLE         1    255,938
EATON VANCE CORP                COM    278265103       22,470     1,009   SH         DEFINED      3                          1,009
EATON VANCE ENH EQTY INC FD     COM    278277108       13,271     1,346   SH         DEFINED      4                          1,346
EATON VANCE ENH EQTY INC FD     COM    278277108       20,036     2,032   SH         DEFINED      3                          2,032
EATON VANCE ENH EQTY INC FD     COM    278277108       13,903     1,410   SH         DEFINED      2                          1,410
EATON VANCE ENHANCED EQ INC     COM    278274105       60,936     6,231   SH         DEFINED      3                          6,231
EATON VANCE FLTING RATE INC     COM    278279104       21,605     1,533   SH         DEFINED      4                          1,533






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
EATON VANCE LTD DUR INCOME F    COM    27828H105       18,325     1,250   SH         DEFINED      3                          1,250
EATON VANCE LTD DUR INCOME F    COM    27828H105       29,393     2,005   SH         DEFINED      2                          2,005
EATON VANCE MUN BD FD           COM    27827X101       11,634       942   SH         DEFINED      4                            942
EATON VANCE MUN BD FD           COM    27827X101       36,556     2,960   SH         DEFINED      2                          2,960
EATON VANCE MUN BD FD II        COM    27827K109       13,280     1,000   SH         DEFINED      2                          1,000
EATON VANCE MUNI INCOME TRUS    COM    27826U108      203,077    16,673   SH         DEFINED      3                         16,673
EATON VANCE NATL MUN OPPORT     COM    27829L105       75,703     3,835   SH         DEFINED      2                          3,835
EATON VANCE NJ MUNI INCOME T    COM    27826V106       10,710       827   SH         DEFINED      4                            827
EATON VANCE RISK MNGD DIV EQ    COM    27829G106        3,537       323   SH         DEFINED      4                            323
EATON VANCE RISK MNGD DIV EQ    COM    27829G106       43,800     4,000   SH         DEFINED      3                          4,000
EATON VANCE SR FLTNG RTE TR     COM    27828Q105       32,668     2,299   SH         DEFINED      4                          2,299
EATON VANCE SR FLTNG RTE TR     COM    27828Q105      127,748     8,990   SH         DEFINED      3                          8,990
EATON VANCE SR FLTNG RTE TR     COM    27828Q105       36,854     2,594   SH         DEFINED      2                          2,594
EATON VANCE SR INCOME TR        COM    27826S103       35,260     5,588   SH         DEFINED      4                          5,588
EATON VANCE SR INCOME TR        COM    27826S103       33,033     5,235   SH         DEFINED      2                          5,235
EATON VANCE TAX ADVT DIV INC    COM    27828G107       52,041     3,807   SH         DEFINED      4                          3,807
EATON VANCE TAX ADVT DIV INC    COM    27828G107       94,145     6,887   SH         DEFINED      3                          6,887
EATON VANCE TAX ADVT DIV INC    COM    27828G107       94,262     6,896   SH         DEFINED      2                          6,896
EATON VANCE TAX MNGD GBL DV     COM    27829F108       31,220     3,903   SH         DEFINED      4                          3,903
EATON VANCE TAX MNGD GBL DV     COM    27829F108       48,000     6,000   SH         DEFINED      3                          6,000
EATON VANCE TAX MNGD GBL DV     COM    27829F108      133,824    16,728   SH         DEFINED      2                         16,728
EATON VANCE TAX MNGED BUY WR    COM    27828X100        5,810       500   SH         DEFINED      4                            500
EATON VANCE TAX MNGED BUY WR    COM    27828X100       12,832     1,104   SH         DEFINED      3                          1,104
EATON VANCE TX ADV GLB DIV O    COM    27828U106       23,530     1,440   SH         DEFINED      2                          1,440
EATON VANCE TX ADV GLBL DIV     COM    27828S101       46,710     3,835   SH         DEFINED      4                          3,835
EATON VANCE TX ADV GLBL DIV     COM    27828S101       14,287     1,173   SH         DEFINED      3                          1,173
EATON VANCE TX ADV GLBL DIV     COM    27828S101       22,533     1,850   SH         DEFINED      2                          1,850
EATON VANCE TX MGD DIV EQ IN    COM    27828N102        9,417     1,104   SH         DEFINED      4                          1,104
EATON VANCE TX MGD DIV EQ IN    COM    27828N102       25,590     3,000   SH         DEFINED      3                          3,000
EATON VANCE TX MGD DIV EQ IN    COM    27828N102        4,692       550   SH         DEFINED      2                            550
EATON VANCE TX MNG BY WRT OP    COM    27828Y108       95,702     8,764   SH         DEFINED      3                          8,764
EATON VANCE TX MNG BY WRT OP    COM    27828Y108       20,857     1,910   SH         DEFINED      2                          1,910
EATON VANCE TXMGD GL BUYWR O    COM    27829C105       26,352     2,700   SH         DEFINED      4                          2,700
EATON VANCE TXMGD GL BUYWR O    COM    27829C105       23,271     2,384   SH         DEFINED      3                          2,384
EATON VANCE TXMGD GL BUYWR O    COM    27829C105       32,725     3,353   SH         DEFINED      2                          3,353
EBAY INC                        COM    278642103   15,222,620   516,196   SH         SOLE         1    516,196
EBAY INC                        COM    278642103       25,774       874   SH         DEFINED      4                            874
EBAY INC                        COM    278642103       19,227       652   SH         DEFINED      3                            652
EBAY INC                        COM    278642103       15,925       540   SH         DEFINED      2                            540
EBIX INC                        COM    278715206      351,448    23,908   SH         SOLE         1     23,908
EBIX INC                        COM    278715206        5,880       400   SH         DEFINED      3                            400
ECA MARCELLUS TR I              COM    26827L109      104,038     4,140   SH         DEFINED      4                          4,140
ECHELON CORP                    COM    27874N105      179,750    25,642   SH         SOLE         1     25,642
ECHELON CORP                    COM    27874N105          238        34   SH         DEFINED      2                             34
ECHO GLOBAL LOGISTICS INC       COM    27875T101      109,419     8,227   SH         SOLE         1      8,227
ECHO THERAPEUTICS INC           COM    27876L107        9,138     3,150   SH         DEFINED      4                          3,150
ECHOSTAR CORP                   COM    278768106          452        20   SH         DEFINED      3                             20
ECHOSTAR CORP A                 COM    278768106       23,989     1,061   SH         SOLE         1      1,061
ECOLAB INC                      COM    278865100    3,562,419    72,866   SH         SOLE         1     72,866
ECOLAB INC                      COM    278865100       22,978       470   SH         DEFINED      3                            470
E-COMMERCE CHINA DANGDANG IN    COM    26833A105        1,482       300   SH         DEFINED      3                            300
ECOPETROL S A                   COM    279158109       19,460       483   SH         DEFINED      4                            483
ECOPETROL S A                   COM    279158109        6,044       150   SH         DEFINED      3                            150
EDAC TECHNOLOGIES CORP          COM    279285100        7,100     1,000   SH         DEFINED      3                          1,000
EDELMAN FINANCIAL GROUP IN      COM    27943Q105       95,576    14,795   SH         SOLE         1     14,795
EDISON INTERNATIONAL            COM    281020107    5,640,881   147,474   SH         SOLE         1    147,474
EDISON INTL                     COM    281020107        7,650       200   SH         DEFINED      4                            200
EDISON INTL                     COM    281020107       61,473     1,607   SH         DEFINED      3                          1,607
EDISON INTL                     COM    281020107       13,847       362   SH         DEFINED      2                            362
EDUCATION MANAGEMENT CORP       COM    28140M103       15,864     1,069   SH         SOLE         1      1,069
EDUCATION REALTY TRUST INC      COM    28140H104      453,140    52,752   SH         SOLE         1     52,752
EDUCATIONAL DEV CORP            COM    281479105        2,575       500   SH         DEFINED      2                            500
EDWARDS LIFESCIENCES CORP       COM    28176E108    2,696,808    37,834   SH         SOLE         1     37,834
EDWARDS LIFESCIENCES CORP       COM    28176E108       35,640       500   SH         DEFINED      4                            500
EDWARDS LIFESCIENCES CORP       COM    28176E108       95,373     1,338   SH         DEFINED      3                          1,338
EGA EMERGING GLOBAL SHS TR      COM    268461654        7,650       450   SH         DEFINED      4                            450
EGA EMERGING GLOBAL SHS TR      COM    268461829       17,649       900   SH         DEFINED      3                            900
EGA EMERGING GLOBAL SHS TR      COM    268461852       21,351     1,400   SH         DEFINED      3                          1,400
EGA EMERGING GLOBAL SHS TR      COM    268461829        9,805       500   SH         DEFINED      2                            500
EHEALTH INC                     COM    28238P109      239,351    17,522   SH         SOLE         1     17,522
EINSTEIN NOAH RESTAURANT G      COM    28257U104       55,823     4,351   SH         SOLE         1      4,351
EL PASO CORP                    COM    28336L109    6,101,516   349,057   SH         SOLE         1    349,057
EL PASO CORP                    COM    28336L109       48,874     2,796   SH         DEFINED      4                          2,796
EL PASO CORP                    COM    28336L109        4,160       238   SH         DEFINED      3                            238
EL PASO CORP                    COM    28336L109       21,151     1,210   SH         DEFINED      2                          1,210
EL PASO ELECTRIC CO             COM    283677854    1,106,110    34,469   SH         SOLE         1     34,469
EL PASO ENERGY CAP TR I         COM    283678209        2,998        67   SH         DEFINED      3                             67
EL PASO PIPELINE PARTNERS L     COM    283702108      160,112     4,514   SH         DEFINED      4                          4,514
EL PASO PIPELINE PARTNERS L     COM    283702108      367,469    10,360   SH         DEFINED      3                         10,360
EL PASO PIPELINE PARTNERS L     COM    283702108       17,735       500   SH         DEFINED      2                            500
ELAN PLC                        COM    284131208       56,336     5,350   SH         DEFINED      4                          5,350






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ELAN PLC                        COM    284131208       33,696     3,200   SH         DEFINED      3                          3,200
ELAN PLC                        COM    284131208          527        50   SH         DEFINED      2                             50
ELBIT SYS LTD                   COM    M3760D101        3,980       100   SH         DEFINED      2                            100
ELDORADO GOLD CORP NEW          COM    284902103       14,565       850   SH         DEFINED      4                            850
ELDORADO GOLD CORP NEW          COM    284902103      126,836     7,400   SH         DEFINED      3                          7,400
ELDORADO GOLD CORP NEW          COM    284902103       18,854     1,100   SH         DEFINED      2                          1,100
ELECTRO RENT CORP               COM    285218103      189,390    13,714   SH         SOLE         1     13,714
ELECTRO SCIENTIFIC INDS IN      COM    285229100      221,606    18,638   SH         SOLE         1     18,638
ELECTRONIC ARTS INC             COM    285512109    2,510,974   122,786   SH         SOLE         1    122,786
ELECTRONIC ARTS INC             COM    285512109          409        20   SH         DEFINED      4                             20
ELECTRONIC ARTS INC             COM    285512109        7,158       350   SH         DEFINED      3                            350
ELECTRONIC ARTS INC             COM    285512109        2,045       100   SH         DEFINED      2                            100
ELECTRONICS FOR IMAGING         COM    286082102      459,246    34,094   SH         SOLE         1     34,094
ELI LILLY + CO                  COM    532457108   47,595,215 1,287,401   SH         SOLE         1  1,287,401
ELIZABETH ARDEN INC             COM    28660G106      507,739    17,853   SH         SOLE         1     17,853
ELLIE MAE INC                   COM    28849P100       34,289     6,167   SH         SOLE         1      6,167
EMAGIN CORPORATION              COM    29076N206       33,325    12,671   SH         SOLE         1     12,671
EMC CORP/MASS                   COM    268648102   26,843,796 1,278,885   SH         SOLE         1  1,278,885
EMC INS GROUP INC               COM    268664109       61,824     3,360   SH         SOLE         1      3,360
EMCOR GROUP INC                 COM    29084Q100    2,744,265   134,986   SH         SOLE         1    134,986
EMCORE CORP                     COM    290846104       63,874    64,519   SH         SOLE         1     64,519
EMDEON INC CLASS A              COM    29084T104       14,844       790   SH         SOLE         1        790
EMERGENT BIOSOLUTIONS INC       COM    29089Q105      308,415    19,988   SH         SOLE         1     19,988
EMERGENT BIOSOLUTIONS INC       COM    29089Q105        3,086       200   SH         DEFINED      3                            200
EMERITUS CORP                   COM    291005106      314,642    22,315   SH         SOLE         1     22,315
EMERSON ELEC CO                 COM    291011104      611,421    14,801   SH         DEFINED      4                         14,801
EMERSON ELEC CO                 COM    291011104      108,008     2,615   SH         DEFINED      3                          2,615
EMERSON ELEC CO                 COM    291011104      232,902     5,638   SH         DEFINED      2                          5,638
EMERSON ELECTRIC CO             COM    291011104   15,934,672   385,734   SH         SOLE         1    385,734
EMPIRE DIST ELEC CO             COM    291641108        5,814       300   SH         DEFINED      4                            300
EMPIRE DIST ELEC CO             COM    291641108       36,822     1,900   SH         DEFINED      2                          1,900
EMPIRE DISTRICT ELECTRIC C      COM    291641108      591,342    30,513   SH         SOLE         1     30,513
EMPLOYERS HOLDINGS INC          COM    292218104      402,285    31,527   SH         SOLE         1     31,527
EMPRESA NACIONAL DE ELCTRCID    COM    29244T101       13,869       320   SH         DEFINED      4                            320
EMULEX CORP                     COM    292475209      410,214    64,096   SH         SOLE         1     64,096
EMULEX CORP                     COM    292475209          640       100   SH         DEFINED      3                            100
ENBRIDGE ENERGY PARTNERS L P    COM    29250R106       45,792     1,667   SH         DEFINED      4                          1,667
ENBRIDGE ENERGY PARTNERS L P    COM    29250R106      259,866     9,460   SH         DEFINED      3                          9,460
ENBRIDGE ENERGY PARTNERS L P    COM    29250R106       58,142     2,117   SH         DEFINED      2                          2,117
ENBRIDGE INC                    COM    29250N105        6,386       200   SH         DEFINED      3                            200
ENBRIDGE INC                    COM    29250N105        5,109       160   SH         DEFINED      2                            160
ENCANA CORP                     COM    292505104    2,108,701   109,771   SH         SOLE         1    109,771
ENCANA CORP                     COM    292505104       12,851       669   SH         DEFINED      3                            669
ENCANA CORP                     COM    292505104       18,322       954   SH         DEFINED      2                            954
ENCORE BANCSHARES INC           COM    29255V201       65,719     6,165   SH         SOLE         1      6,165
ENCORE CAPITAL GROUP INC        COM    292554102      286,301    13,103   SH         SOLE         1     13,103
ENCORE ENERGY PARTNERS LP       COM    29257A106       43,056     2,300   SH         DEFINED      4                          2,300
ENCORE ENERGY PARTNERS LP       COM    29257A106        3,744       200   SH         DEFINED      3                            200
ENCORE WIRE CORP                COM    292562105      313,783    15,247   SH         SOLE         1     15,247
ENCORE WIRE CORP                COM    292562105        2,058       100   SH         DEFINED      4                            100
ENDEAVOUR INTERNATIONAL CO      COM    29259G200      216,426    27,121   SH         SOLE         1     27,121
ENDEAVOUR SILVER CORP           COM    29258Y103       26,572     2,959   SH         DEFINED      3                          2,959
ENDO PHARMACEUT HLDGS INC       COM    29264F205    7,125,498   254,573   SH         SOLE         1    254,573
ENDOCYTE INC                    COM    29269A102      133,274    12,573   SH         SOLE         1     12,573
ENDOLOGIX INC                   COM    29266S106      358,759    35,733   SH         SOLE         1     35,733
ENDURANCE SPECIALTY HLDGS LT    COM    G30397106        9,777       286   SH         DEFINED      3                            286
ENDURANCE SPECIALTY HOLDIN      COM    G30397106       38,453     1,126   SH         SOLE         1      1,126
ENER1 INC                       COM    29267A203        7,315    53,397   SH         SOLE         1     53,397
ENERGEN CORP                    COM    29265N108    6,477,385   158,410   SH         SOLE         1    158,410
ENERGEN CORP                    COM    29265N108        1,758        43   SH         DEFINED      3                             43
ENERGIZER HLDGS INC             COM    29266R108       23,918       360   SH         DEFINED      4                            360
ENERGIZER HLDGS INC             COM    29266R108        5,049        76   SH         DEFINED      3                             76
ENERGIZER HLDGS INC             COM    29266R108       24,051       362   SH         DEFINED      2                            362
ENERGIZER HOLDINGS INC          COM    29266R108   10,038,154   151,086   SH         SOLE         1    151,086
ENERGY CONVERSION DEVICES IN    CNV    292659AA7        3,600         8   PRN        DEFINED      3                              8
ENERGY CONVERSION DEVICES IN    COM    292659109       24,317    45,881   SH         DEFINED      2                         45,881
ENERGY INCOME & GROWTH FD       COM    292697109       65,251     2,575   SH         DEFINED      3                          2,575
ENERGY PARTNERS LTD             COM    29270U303      233,976    21,136   SH         SOLE         1     21,136
ENERGY RECOVERY INC             COM    29270J100      100,621    33,429   SH         SOLE         1     33,429
ENERGY RECOVERY INC             COM    29270J100        1,425       475   SH         DEFINED      4                            475
ENERGY TRANSFER EQUITY L P      COM    29273V100        3,652       105   SH         DEFINED      4                            105
ENERGY TRANSFER EQUITY L P      COM    29273V100       44,214     1,271   SH         DEFINED      3                          1,271
ENERGY TRANSFER PRTNRS L P      COM    29273R109      238,301     5,811   SH         DEFINED      4                          5,811
ENERGY TRANSFER PRTNRS L P      COM    29273R109    2,180,774    53,177   SH         DEFINED      3                         53,177
ENERGY TRANSFER PRTNRS L P      COM    29273R109      473,777    11,553   SH         DEFINED      2                         11,553
ENERGY XXI (BERMUDA) LTD        COM    G10082140      165,396     7,700   SH         DEFINED      3                          7,700
ENERGY XXI (BERMUDA) LTD        COM    G10082140      493,782    22,988   SH         DEFINED      2                         22,988
ENERGY XXI BERMUDA              COM    G10082140    1,179,879    55,006   SH         SOLE         1     55,006
ENERGYSOLUTIONS INC             COM    292756202      205,757    58,288   SH         SOLE         1     58,288
ENERNOC INC                     COM    292764107      152,856    16,984   SH         SOLE         1     16,984
ENERNOC INC                     COM    292764107        2,475       275   SH         DEFINED      3                            275






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ENERPLUS CORP                   COM    292766102      157,470     6,417   SH         DEFINED      4                          6,417
ENERPLUS CORP                   COM    292766102       13,497       550   SH         DEFINED      3                            550
ENERPLUS CORP                   COM    292766102      268,787    10,953   SH         DEFINED      2                         10,953
ENERSIS S A                     COM    29274F104        6,764       400   SH         DEFINED      3                            400
ENERSYS                         COM    29275Y102      734,314    36,679   SH         SOLE         1     36,679
ENI S P A                       COM    26874R108       17,565       500   SH         DEFINED      3                            500
ENNIS INC                       COM    293389102      248,427    19,022   SH         SOLE         1     19,022
ENPRO INDS INC                  COM    29355X107        7,123       240   SH         DEFINED      3                            240
ENPRO INDUSTRIES INC            COM    29355X107      502,720    16,938   SH         SOLE         1     16,938
ENSCO PLC                       COM    29358Q109       42,452     1,050   SH         DEFINED      4                          1,050
ENSCO PLC                       COM    29358Q109       91,897     2,273   SH         DEFINED      3                          2,273
ENSCO PLC                       COM    29358Q109       82,043     2,029   SH         DEFINED      2                          2,029
ENSCO PLC SPON ADR              COM    29358Q109   16,762,359   414,602   SH         SOLE         1    414,602
ENSIGN GROUP INC/THE            COM    29358P101      308,773    13,361   SH         SOLE         1     13,361
ENSTAR GROUP LIMITED            COM    G3075P101          952        10   SH         DEFINED      2                             10
ENSTAR GROUP LTD                COM    G3075P101      479,197     5,032   SH         SOLE         1      5,032
ENTEGRIS INC                    COM    29362U104    1,687,280   264,464   SH         SOLE         1    264,464
ENTEGRIS INC                    COM    29362U104       20,416     3,200   SH         DEFINED      2                          3,200
ENTERCOM COMMUNICATIONS CL      COM    293639100       92,757    17,668   SH         SOLE         1     17,668
ENTERGY CORP                    COM    29364G103    3,900,371    58,838   SH         SOLE         1     58,838
ENTERGY CORP NEW                COM    29364G103       19,887       300   SH         DEFINED      4                            300
ENTERGY CORP NEW                COM    29364G103        6,629       100   SH         DEFINED      3                            100
ENTERGY CORP NEW                COM    29364G103       70,069     1,057   SH         DEFINED      2                          1,057
ENTERPRISE BANCORP INC          COM    293668109       52,427     4,252   SH         SOLE         1      4,252
ENTERPRISE FINANCIAL SERVI      COM    293712105      157,848    11,615   SH         SOLE         1     11,615
ENTERPRISE PRODS PARTNERS L     COM    293792107      764,759    19,048   SH         DEFINED      4                         19,048
ENTERPRISE PRODS PARTNERS L     COM    293792107    1,735,104    43,216   SH         DEFINED      3                         43,216
ENTERPRISE PRODS PARTNERS L     COM    293792107      141,248     3,518   SH         DEFINED      2                          3,518
ENTERTAINMENT PROPERTIES T      COM    29380T105    1,489,465    38,211   SH         SOLE         1     38,211
ENTRAVISION COMMUNICATIONS      COM    29382R107       37,449    36,715   SH         SOLE         1     36,715
ENTREMED INC                    COM    29382F202           61        40   SH         DEFINED      2                             40
ENTROPIC COMMUNICATIONS IN      COM    29384R105      290,157    70,256   SH         SOLE         1     70,256
ENTROPIC COMMUNICATIONS INC     COM    29384R105        1,198       290   SH         DEFINED      4                            290
ENTROPIC COMMUNICATIONS INC     COM    29384R105        4,130     1,000   SH         DEFINED      3                          1,000
ENTROPIC COMMUNICATIONS INC     COM    29384R105       66,493    16,100   SH         DEFINED      2                         16,100
ENVESTNET INC                   COM    29404K106      139,830    13,983   SH         SOLE         1     13,983
ENZO BIOCHEM INC                COM    294100102       79,488    30,929   SH         SOLE         1     30,929
ENZO BIOCHEM INC                COM    294100102        2,570     1,000   SH         DEFINED      2                          1,000
ENZON PHARMACEUTICALS INC       COM    293904108      193,516    27,488   SH         SOLE         1     27,488
EOG RES INC                     COM    26875P101      176,460     2,485   SH         DEFINED      3                          2,485
EOG RES INC                     COM    26875P101       50,985       718   SH         DEFINED      2                            718
EOG RESOURCES INC               COM    26875P101    7,109,805   100,124   SH         SOLE         1    100,124
EPIQ SYSTEMS INC                COM    26882D109      322,760    25,759   SH         SOLE         1     25,759
EPLUS INC                       COM    294268107       69,545     2,819   SH         SOLE         1      2,819
EPOCH HOLDING CORP              COM    29428R103      146,312    10,782   SH         SOLE         1     10,782
EPOCRATES INC                   COM    29429D103       41,428     4,598   SH         SOLE         1      4,598
EQT CORP                        COM    26884L109    3,748,700    70,253   SH         SOLE         1     70,253
EQT CORP                        COM    26884L109      283,875     5,320   SH         DEFINED      3                          5,320
EQT CORP                        COM    26884L109       13,233       248   SH         DEFINED      2                            248
EQUAL ENERGY LTD                COM    29390Q109        2,897       666   SH         DEFINED      3                            666
EQUIFAX INC                     COM    294429105    1,964,593    63,910   SH         SOLE         1     63,910
EQUIFAX INC                     COM    294429105       15,862       516   SH         DEFINED      4                            516
EQUIFAX INC                     COM    294429105       99,920     3,250   SH         DEFINED      2                          3,250
EQUINIX INC                     COM    29444U502    9,116,090   102,624   SH         SOLE         1    102,624
EQUINIX INC                     COM    29444U502          355         4   SH         DEFINED      3                              4
EQUITY LIFESTYLE PROPERTIE      COM    29472R108    5,077,383    80,979   SH         SOLE         1     80,979
EQUITY ONE                      COM    294752100       19,032     1,200   SH         DEFINED      3                          1,200
EQUITY ONE                      COM    294752100       16,653     1,050   SH         DEFINED      2                          1,050
EQUITY ONE INC                  COM    294752100    2,670,650   168,389   SH         SOLE         1    168,389
EQUITY RESIDENTIAL              COM    29476L107    5,942,953   114,574   SH         SOLE         1    114,574
ERESEARCH TECHNOLOGY INC        COM    29481V108      177,182    39,727   SH         SOLE         1     39,727
ERICSSON L M TEL CO             COM    294821608        2,789       292   SH         DEFINED      4                            292
ERICSSON L M TEL CO             COM    294821608        2,082       218   SH         DEFINED      3                            218
ERIE INDEMNITY COMPANY CL       COM    29530P102      983,708    13,820   SH         SOLE         1     13,820
ESB FINANCIAL CORP              COM    26884F102       99,758     9,102   SH         SOLE         1      9,102
ESCO TECHNOLOGIES INC           COM    296315104      555,798    21,796   SH         SOLE         1     21,796
ESCO TECHNOLOGIES INC           COM    296315104          765        30   SH         DEFINED      2                             30
ESPEY MFG & ELECTRS CORP        COM    296650104        5,798       250   SH         DEFINED      3                            250
ESSA BANCORP INC                COM    29667D104       87,002     8,278   SH         SOLE         1      8,278
ESSEX PROPERTY TRUST INC        COM    297178105    8,588,982    71,551   SH         SOLE         1     71,551
ESSEX RENTAL CORP               COM    297187106       30,767    12,507   SH         SOLE         1     12,507
ESTEE LAUDER COMPANIES CL       COM    518439104    3,567,885    40,618   SH         SOLE         1     40,618
ESTERLINE TECHNOLOGIES COR      COM    297425100    4,596,083    88,659   SH         SOLE         1     88,659
ETABLISSEMENTS DELHAIZE FRER    COM    29759W101       23,376       400   SH         DEFINED      4                            400
ETFS ASIAN GOLD TR              COM    26923C102       32,335       200   SH         DEFINED      2                            200
ETFS GOLD TR                    COM    26922Y105       71,027       441   SH         DEFINED      3                            441
ETFS GOLD TR                    COM    26922Y105      144,149       895   SH         DEFINED      2                            895
ETFS PALLADIUM TR               COM    26923A106        3,000        50   SH         DEFINED      3                             50
ETFS PALLADIUM TR               COM    26923A106        6,000       100   SH         DEFINED      2                            100
ETFS PLATINUM TR                COM    26922V101        9,019        60   SH         DEFINED      4                             60
ETFS PLATINUM TR                COM    26922V101          601         4   SH         DEFINED      3                              4






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ETFS PRECIOUS METALS BASKET     COM    26922W109       28,248       312   SH         DEFINED      4                            312
ETFS PRECIOUS METALS BASKET     COM    26922W109      170,125     1,879   SH         DEFINED      2                          1,879
ETFS SILVER TR                  COM    26922X107      219,894     7,449   SH         DEFINED      3                          7,449
ETFS SILVER TR                  COM    26922X107       36,900     1,250   SH         DEFINED      2                          1,250
ETHAN ALLEN INTERIORS INC       COM    297602104      271,315    19,935   SH         SOLE         1     19,935
EURONET WORLDWIDE INC           COM    298736109      588,692    37,401   SH         SOLE         1     37,401
EURONET WORLDWIDE INC           COM    298736109       11,018       700   SH         DEFINED      4                            700
EV ENERGY PARTNERS LP           COM    26926V107       15,841       221   SH         DEFINED      4                            221
EV ENERGY PARTNERS LP           COM    26926V107       86,733     1,210   SH         DEFINED      3                          1,210
EV ENERGY PARTNERS LP           COM    26926V107       30,822       430   SH         DEFINED      2                            430
EVERCORE PARTNERS INC CL A      COM    29977A105      349,889    15,346   SH         SOLE         1     15,346
EVEREST RE GROUP LTD            COM    G3223R108    9,462,652   119,207   SH         SOLE         1    119,207
EVEREST RE GROUP LTD            COM    G3223R108        3,969        50   SH         DEFINED      4                             50
EVERGREEN ENERGY INC NEW        COM    30024B203           22        25   SH         DEFINED      4                             25
EVOLUTION PETROLEUM CORP        COM    30049A107       82,835    11,733   SH         SOLE         1     11,733
EW SCRIPPS CO/THE A             COM    811054402      194,474    27,782   SH         SOLE         1     27,782
EXACT SCIENCES CORP             COM    30063P105      252,868    38,140   SH         SOLE         1     38,140
EXACT SCIENCES CORP             COM    30063P105       18,233     2,750   SH         DEFINED      3                          2,750
EXACTECH INC                    COM    30064E109       87,437     6,210   SH         SOLE         1      6,210
EXAMWORKS GROUP INC             COM    30066A105      201,136    19,758   SH         SOLE         1     19,758
EXAR CORP                       COM    300645108      175,308    30,702   SH         SOLE         1     30,702
EXCEL MARITIME CARRIERS LT      COM    V3267N107      625,186   300,570   SH         SOLE         1    300,570
EXCEL MARITIME CARRIERS LTD     COM    V3267N107          624       300   SH         DEFINED      3                            300
EXCEL MARITIME CARRIERS LTD     COM    V3267N107        4,202     2,020   SH         DEFINED      2                          2,020
EXCEL TRUST INC                 COM    30068C109      217,489    22,608   SH         SOLE         1     22,608
EXCO RESOURCES INC              COM    269279402       23,809     2,221   SH         SOLE         1      2,221
EXCO RESOURCES INC              COM    269279402       17,034     1,589   SH         DEFINED      3                          1,589
EXELIXIS INC                    COM    30161Q104      509,795    93,369   SH         SOLE         1     93,369
EXELIXIS INC                    COM    30161Q104          633       116   SH         DEFINED      3                            116
EXELIXIS INC                    COM    30161Q104        4,368       800   SH         DEFINED      2                            800
EXELON CORP                     COM    30161N101   11,979,205   281,136   SH         SOLE         1    281,136
EXELON CORP                     COM    30161N101      759,327    17,820   SH         DEFINED      4                         17,820
EXELON CORP                     COM    30161N101      774,744    18,182   SH         DEFINED      3                         18,182
EXELON CORP                     COM    30161N101      492,685    11,563   SH         DEFINED      2                         11,563
EXETER RES CORP                 COM    301835104       39,930    11,000   SH         DEFINED      4                         11,000
EXFO INC                        COM    302046107        3,065       500   SH         DEFINED      3                            500
EXIDE TECHNOLOGIES              COM    302051206      226,132    56,533   SH         SOLE         1     56,533
EXLSERVICE HOLDINGS INC         COM    302081104      259,710    11,805   SH         SOLE         1     11,805
EXPEDIA INC                     COM    30212P105    2,479,648    96,297   SH         SOLE         1     96,297
EXPEDIA INC DEL                 COM    30212P105       11,382       442   SH         DEFINED      4                            442
EXPEDITORS INTL WASH INC        COM    302130109    4,141,088   102,123   SH         SOLE         1    102,123
EXPEDITORS INTL WASH INC        COM    302130109        1,946        48   SH         DEFINED      3                             48
EXPONENT INC                    COM    30214U102      473,105    11,447   SH         SOLE         1     11,447
EXPRESS INC                     COM    30219E103      818,864    40,358   SH         SOLE         1     40,358
EXPRESS SCRIPTS INC             COM    302182100   15,977,726   431,015   SH         SOLE         1    431,015
EXPRESS SCRIPTS INC             COM    302182100      104,315     2,814   SH         DEFINED      4                          2,814
EXPRESS SCRIPTS INC             COM    302182100       41,704     1,125   SH         DEFINED      3                          1,125
EXPRESS SCRIPTS INC             COM    302182100       33,363       900   SH         DEFINED      2                            900
EXTERRAN HOLDINGS INC           COM    30225X103    1,800,980   185,286   SH         SOLE         1    185,286
EXTRA SPACE STORAGE INC         COM    30225T102    6,444,899   345,942   SH         SOLE         1    345,942
EXTREME NETWORKS INC            COM    30226D106      178,226    67,255   SH         SOLE         1     67,255
EXXON MOBIL CORP                COM    30231G102  119,599,748 1,646,699   SH         SOLE         1  1,646,699
EXXON MOBIL CORP                COM    30231G102    3,762,231    51,800   SH         DEFINED      4                         51,800
EXXON MOBIL CORP                COM    30231G102   14,958,472   205,954   SH         DEFINED      3                        205,954
EXXON MOBIL CORP                COM    30231G102    2,665,068    36,694   SH         DEFINED      2                         36,694
EZCHIP SEMICONDUCTOR LIMITED    COM    M4146Y108        6,644       200   SH         DEFINED      4                            200
EZCORP INC                      COM    302301106        8,562       300   SH         DEFINED      2                            300
EZCORP INC CL A                 COM    302301106    1,088,373    38,135   SH         SOLE         1     38,135
F M C CORP                      COM    302491303       69,160     1,000   SH         DEFINED      4                          1,000
F M C CORP                      COM    302491303       32,851       475   SH         DEFINED      3                            475
F M C CORP                      COM    302491303        2,766        40   SH         DEFINED      2                             40
F5 NETWORKS INC                 COM    315616102    8,012,522   112,773   SH         SOLE         1    112,773
F5 NETWORKS INC                 COM    315616102       35,880       505   SH         DEFINED      4                            505
F5 NETWORKS INC                 COM    315616102      264,306     3,720   SH         DEFINED      3                          3,720
FABRINET                        COM    G3323L100      278,686    14,903   SH         SOLE         1     14,903
FACTORSHARES S&P GOLD PREM      COM    30304T106       20,578       550   SH         DEFINED      2                            550
FACTORSHARES S&P US EQTY PRE    COM    303046106        4,629       425   SH         DEFINED      3                            425
FACTSET RESEARCH SYSTEMS I      COM    303075105    8,898,512   100,017   SH         SOLE         1    100,017
FAIR ISAAC CORP                 COM    303250104    2,462,271   112,793   SH         SOLE         1    112,793
FAIR ISAAC CORP                 COM    303250104          808        37   SH         DEFINED      2                             37
FAIRCHILD SEMICONDUCTOR IN      COM    303726103    3,027,737   280,346   SH         SOLE         1    280,346
FAIRCHILD SEMICONDUCTOR INTL    COM    303726103       24,840     2,300   SH         DEFINED      3                          2,300
FAIRPOINT COMMUNICATIONS I      COM    305560302       67,708    15,746   SH         SOLE         1     15,746
FALCONSTOR SOFTWARE INC         COM    306137100       65,487    22,427   SH         SOLE         1     22,427
FAMILY DLR STORES INC           COM    307000109       10,935       215   SH         DEFINED      3                            215
FAMILY DOLLAR STORES            COM    307000109    1,928,204    37,912   SH         SOLE         1     37,912
FARMER BROS CO                  COM    307675108       27,258     4,947   SH         SOLE         1      4,947
FARO TECHNOLOGIES INC           COM    311642102      423,086    13,410   SH         SOLE         1     13,410
FASTENAL CO                     COM    311900104    4,243,366   127,505   SH         SOLE         1    127,505
FASTENAL CO                     COM    311900104        6,656       200   SH         DEFINED      4                            200
FASTENAL CO                     COM    311900104      175,831     5,283   SH         DEFINED      3                          5,283






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
FASTENAL CO                     COM    311900104      704,205    21,160   SH         DEFINED      2                         21,160
FBL FINANCIAL GROUP INC CL      COM    30239F106      249,376     9,368   SH         SOLE         1      9,368
FBR + CO                        COM    30247C301       87,829    36,903   SH         SOLE         1     36,903
FEDERAL AGRIC MTG CORP CL       COM    313148306      136,731     7,185   SH         SOLE         1      7,185
FEDERAL MOGUL CORP              COM    313549404        8,024       544   SH         SOLE         1        544
FEDERAL MOGUL CORP              COM    313549404        7,375       500   SH         DEFINED      2                            500
FEDERAL REALTY INVS TRUST       COM    313747206   11,313,739   137,286   SH         SOLE         1    137,286
FEDERAL REALTY INVT TR          COM    313747206       24,723       300   SH         DEFINED      2                            300
FEDERAL SIGNAL CORP             COM    313855108      224,947    50,893   SH         SOLE         1     50,893
FEDERATED INVESTORS INC CL      COM    314211103    1,451,081    82,777   SH         SOLE         1     82,777
FEDERATED INVS INC PA           COM    314211103        9,466       540   SH         DEFINED      2                            540
FEDERATED PREM MUN INC FD       COM    31423P108       12,602       880   SH         DEFINED      2                            880
FEDEX CORP                      COM    31428X106   11,670,604   172,438   SH         SOLE         1    172,438
FEDEX CORP                      COM    31428X106       14,213       210   SH         DEFINED      4                            210
FEDEX CORP                      COM    31428X106      200,209     2,958   SH         DEFINED      3                          2,958
FEDEX CORP                      COM    31428X106      134,954     1,994   SH         DEFINED      2                          1,994
FEI COMPANY                     COM    30241L109      950,930    31,740   SH         SOLE         1     31,740
FEIHE INTL INC                  COM    31429Y103        1,620       300   SH         DEFINED      3                            300
FEIHE INTL INC                  COM    31429Y103          945       175   SH         DEFINED      2                            175
FELCOR LODGING TRUST INC        COM    31430F101      211,839    90,918   SH         SOLE         1     90,918
FEMALE HEALTH COMPANY           COM    314462102       55,039    13,490   SH         SOLE         1     13,490
FERRELLGAS PARTNERS L.P.        COM    315293100       30,768     1,550   SH         DEFINED      4                          1,550
FERRELLGAS PARTNERS L.P.        COM    315293100      481,602    24,262   SH         DEFINED      3                         24,262
FERRELLGAS PARTNERS L.P.        COM    315293100      132,459     6,673   SH         DEFINED      2                          6,673
FERRO CORP                      COM    315405100      699,704   113,773   SH         SOLE         1    113,773
FIDELITY COMWLTH TR             COM    315912808       36,903       388   SH         DEFINED      3                            388
FIDELITY NATIONAL FINANCIAL     COM    31620R105       60,720     4,000   SH         DEFINED      4                          4,000
FIDELITY NATIONAL FINANCIAL     COM    31620R105       14,998       988   SH         DEFINED      3                            988
FIDELITY NATIONAL FINL A        COM    31620R105    7,457,145   491,248   SH         SOLE         1    491,248
FIDELITY NATIONAL INFORMAT      COM    31620M106    2,290,579    94,185   SH         SOLE         1     94,185
FIDELITY NATL INFORMATION SV    COM    31620M106          195         8   SH         DEFINED      3                              8
FIDUCIARY CLAYMORE MLP OPP F    COM    31647Q106       97,869     5,100   SH         DEFINED      4                          5,100
FIDUCIARY CLAYMORE MLP OPP F    COM    31647Q106       10,171       530   SH         DEFINED      2                            530
FIFTH STREET FINANCE CORP       COM    31678A103    7,599,211   815,366   SH         SOLE         1    815,366
FIFTH STREET FINANCE CORP       COM    31678A103      284,996    30,579   SH         DEFINED      4                         30,579
FIFTH STREET FINANCE CORP       COM    31678A103      117,849    12,645   SH         DEFINED      2                         12,645
FIFTH THIRD BANCORP             COM    316773100    3,090,196   305,960   SH         SOLE         1    305,960
FIFTH THIRD BANCORP             COM    316773100          121        12   SH         DEFINED      4                             12
FIFTH THIRD BANCORP             COM    316773100        3,575       354   SH         DEFINED      3                            354
FINANCIAL ENGINES INC           COM    317485100      569,052    31,422   SH         SOLE         1     31,422
FINANCIAL INSTITUTIONS INC      COM    317585404      143,655    10,074   SH         SOLE         1     10,074
FINISAR CORP                    COM    31787A507      367,112    20,930   SH         DEFINED      3                         20,930
FINISAR CORP                    COM    31787A507      145,582     8,300   SH         DEFINED      2                          8,300
FINISAR CORPORATION             COM    31787A507    3,665,264   208,966   SH         SOLE         1    208,966
FINISH LINE/THE   CL A          COM    317923100    4,856,770   242,960   SH         SOLE         1    242,960
FIRST AMERICAN FINANCIAL        COM    31847R102    3,905,510   305,118   SH         SOLE         1    305,118
FIRST AMERN FINL CORP           COM    31847R102        8,960       700   SH         DEFINED      3                            700
FIRST BANCORP INC/ME            COM    31866P102       80,664     6,407   SH         SOLE         1      6,407
FIRST BANCORP N C               COM    318910106       16,566     1,650   SH         DEFINED      2                          1,650
FIRST BANCORP PUERTO RICO       COM    318672706        5,298     1,892   SH         SOLE         1      1,892
FIRST BANCORP/NC                COM    318910106      110,741    11,030   SH         SOLE         1     11,030
FIRST BANCSHARES INC MS         COM    318916103       20,007     2,470   SH         DEFINED      2                          2,470
FIRST BUSEY CORP                COM    319383105      244,870    56,292   SH         SOLE         1     56,292
FIRST CASH FINL SVCS INC        COM    31942D107    1,074,214    25,607   SH         SOLE         1     25,607
FIRST CITIZENS BCSHS   CL       COM    31946M103       21,675       151   SH         SOLE         1        151
FIRST COMMONWEALTH FINL CO      COM    319829107      317,978    85,940   SH         SOLE         1     85,940
FIRST COMMUNITY BANCSHARES      COM    31983A103      118,391    11,607   SH         SOLE         1     11,607
FIRST COMWLTH FINL CORP PA      COM    319829107        8,325     2,250   SH         DEFINED      2                          2,250
FIRST DEFIANCE FINL CORP        COM    32006W106       95,167     7,102   SH         SOLE         1      7,102
FIRST FINANCIAL BANCORP         COM    320209109      658,550    47,721   SH         SOLE         1     47,721
FIRST FINANCIAL CORP/INDIA      COM    320218100      223,821     8,136   SH         SOLE         1      8,136
FIRST FINANCIAL HOLDINGS I      COM    320239106       48,405    12,071   SH         SOLE         1     12,071
FIRST FINL BANKSHARES           COM    32020R109        4,124       158   SH         DEFINED      3                            158
FIRST FINL BANKSHARES INC       COM    32020R109      673,725    25,754   SH         SOLE         1     25,754
FIRST HORIZON NATIONAL COR      COM    320517105      518,741    87,037   SH         SOLE         1     87,037
FIRST HORIZON NATL CORP         COM    320517105       10,347     1,736   SH         DEFINED      2                          1,736
FIRST INDUSTRIAL REALTY TR      COM    32054K103      506,032    63,254   SH         SOLE         1     63,254
FIRST INTERSTATE BANCSYS/M      COM    32055Y201      123,326    11,515   SH         SOLE         1     11,515
FIRST INTST BANCSYSTEM INC      COM    32055Y201          664        62   SH         DEFINED      4                             62
FIRST MAJESTIC SILVER CORP      COM    32076V103      107,231     7,050   SH         DEFINED      3                          7,050
FIRST MAJESTIC SILVER CORP      COM    32076V103        7,605       500   SH         DEFINED      2                            500
FIRST MARBLEHEAD CORP           COM    320771108        2,550     2,500   SH         DEFINED      3                          2,500
FIRST MARBLEHEAD CORP/THE       COM    320771108       41,081    40,275   SH         SOLE         1     40,275
FIRST MERCHANTS CORP            COM    320817109      132,089    18,736   SH         SOLE         1     18,736
FIRST MIDWEST BANCORP INC/      COM    320867104      446,923    61,055   SH         SOLE         1     61,055
FIRST NIAGARA FINANCIAL GR      COM    33582V108    5,934,891   648,622   SH         SOLE         1    648,622
FIRST NIAGARA FINL GP INC       COM    33582V108       11,895     1,300   SH         DEFINED      4                          1,300
FIRST NIAGARA FINL GP INC       COM    33582V108       29,280     3,200   SH         DEFINED      3                          3,200
FIRST NIAGARA FINL GP INC       COM    33582V108       49,022     5,358   SH         DEFINED      2                          5,358
FIRST OF LONG ISLAND CORP       COM    320734106      126,330     5,575   SH         SOLE         1      5,575
FIRST PACTRUST BANCORP INC      COM    33589V101       83,797     7,396   SH         SOLE         1      7,396






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
FIRST POTOMAC REALTY TRUST      COM    33610F109      455,741    36,547   SH         SOLE         1     36,547
FIRST POTOMAC RLTY TR           COM    33610F109       57,771     4,633   SH         DEFINED      2                          4,633
FIRST REPUBLIC BANK/SAN FR      COM    33616C100       47,270     2,041   SH         SOLE         1      2,041
FIRST SOLAR INC                 COM    336433107    1,600,035    25,313   SH         SOLE         1     25,313
FIRST SOLAR INC                 COM    336433107       28,445       450   SH         DEFINED      4                            450
FIRST SOLAR INC                 COM    336433107       71,427     1,130   SH         DEFINED      3                          1,130
FIRST SOLAR INC                 COM    336433107       26,675       422   SH         DEFINED      2                            422
FIRST TR ABERDEEN GLBL OPP F    COM    337319107    1,175,506    72,922   SH         DEFINED      3                         72,922
FIRST TR ABERDEEN GLBL OPP F    COM    337319107        3,224       200   SH         DEFINED      2                            200
FIRST TR BICK INDEX FD          COM    33733H107       63,873     2,902   SH         DEFINED      3                          2,902
FIRST TR DJS MICROCAP INDEX     COM    33718M105        6,702       391   SH         DEFINED      3                            391
FIRST TR EXCH TRD ALPHA FD I    COM    33737J109       15,036       700   SH         DEFINED      3                            700
FIRST TR EXCH TRD ALPHA FD I    COM    33737J125       16,338       731   SH         DEFINED      3                            731
FIRST TR EXCH TRD ALPHA FD I    COM    33737J158        1,757        45   SH         DEFINED      3                             45
FIRST TR EXCHANGE TRADED FD     COM    33733E104       31,705     1,590   SH         DEFINED      4                          1,590
FIRST TR EXCHANGE TRADED FD     COM    33733E203       19,406       587   SH         DEFINED      4                            587
FIRST TR EXCHANGE TRADED FD     COM    33733E302      517,088    17,630   SH         DEFINED      4                         17,630
FIRST TR EXCHANGE TRADED FD     COM    33734X101      496,931    27,638   SH         DEFINED      4                         27,638
FIRST TR EXCHANGE TRADED FD     COM    33734X168      484,539    26,521   SH         DEFINED      4                         26,521
FIRST TR EXCHANGE TRADED FD     COM    33734X184      171,662    10,218   SH         DEFINED      4                         10,218
FIRST TR EXCHANGE TRADED FD     COM    33734X192        1,594       100   SH         DEFINED      4                            100
FIRST TR EXCHANGE TRADED FD     COM    33733E104       24,088     1,208   SH         DEFINED      3                          1,208
FIRST TR EXCHANGE TRADED FD     COM    33733E203      517,521    15,654   SH         DEFINED      3                         15,654
FIRST TR EXCHANGE TRADED FD     COM    33733E302      272,652     9,296   SH         DEFINED      3                          9,296
FIRST TR EXCHANGE TRADED FD     COM    33734X101      340,856    18,958   SH         DEFINED      3                         18,958
FIRST TR EXCHANGE TRADED FD     COM    33734X119       53,656     2,405   SH         DEFINED      3                          2,405
FIRST TR EXCHANGE TRADED FD     COM    33734X127      116,719     7,044   SH         DEFINED      3                          7,044
FIRST TR EXCHANGE TRADED FD     COM    33734X135      130,106    11,054   SH         DEFINED      3                         11,054
FIRST TR EXCHANGE TRADED FD     COM    33734X168      167,236     9,154   SH         DEFINED      3                          9,154
FIRST TR EXCHANGE TRADED FD     COM    33734X176       49,020     2,686   SH         DEFINED      3                          2,686
FIRST TR EXCHANGE TRADED FD     COM    33734X184       74,592     4,440   SH         DEFINED      3                          4,440
FIRST TR EXCHANGE TRADED FD     COM    33734X192      141,738     8,892   SH         DEFINED      3                          8,892
FIRST TR EXCHANGE TRADED FD     COM    33733E500          420        42   SH         DEFINED      3                             42
FIRST TR EXCHANGE TRADED FD     COM    33734X143       66,304     2,589   SH         DEFINED      3                          2,589
FIRST TR EXCHANGE TRADED FD     COM    33734X150       27,389     1,857   SH         DEFINED      3                          1,857
FIRST TR EXCHANGE TRADED FD     COM    33734X200       16,013       760   SH         DEFINED      3                            760
FIRST TR EXCHANGE TRADED FD     COM    33733E203        1,653        50   SH         DEFINED      2                             50
FIRST TR EXCHANGE TRADED FD     COM    33733E302      414,316    14,126   SH         DEFINED      2                         14,126
FIRST TR EXCHANGE TRADED FD     COM    33734X101       49,301     2,742   SH         DEFINED      2                          2,742
FIRST TR EXCHANGE TRADED FD     COM    33734X119      265,734    11,911   SH         DEFINED      2                         11,911
FIRST TR EXCHANGE TRADED FD     COM    33734X127      389,296    23,494   SH         DEFINED      2                         23,494
FIRST TR EXCHANGE TRADED FD     COM    33734X135       21,457     1,823   SH         DEFINED      2                          1,823
FIRST TR EXCHANGE TRADED FD     COM    33734X168       37,454     2,050   SH         DEFINED      2                          2,050
FIRST TR EXCHANGE TRADED FD     COM    33734X176       21,134     1,158   SH         DEFINED      2                          1,158
FIRST TR EXCHANGE TRADED FD     COM    33733E401        2,684       133   SH         DEFINED      2                            133
FIRST TR EXCHANGE TRADED FD     COM    33734X143      443,924    17,334   SH         DEFINED      2                         17,334
FIRST TR EXCHANGE TRADED FD     COM    33734X150       20,604     1,397   SH         DEFINED      2                          1,397
FIRST TR ISE GLB WIND ENRG E    COM    33736G106        1,467       182   SH         DEFINED      4                            182
FIRST TR ISE GLBL PLAT INDX     COM    33737C104        6,889       362   SH         DEFINED      3                            362
FIRST TR ISE GLOBAL ENGR & C    COM    33736M103       18,594       550   SH         DEFINED      4                            550
FIRST TR ISE GLOBAL ENGR & C    COM    33736M103       12,475       369   SH         DEFINED      3                            369
FIRST TR ISE GLOBL COPPR IND    COM    33733J103       27,599     1,051   SH         DEFINED      3                          1,051
FIRST TR ISE GLOBL COPPR IND    COM    33733J103        6,696       255   SH         DEFINED      2                            255
FIRST TR ISE REVERE NAT GAS     COM    33734J102        7,910       500   SH         DEFINED      4                            500
FIRST TR ISE REVERE NAT GAS     COM    33734J102      109,522     6,923   SH         DEFINED      3                          6,923
FIRST TR ISE REVERE NAT GAS     COM    33734J102       72,244     4,567   SH         DEFINED      2                          4,567
FIRST TR LRG CP GRWTH ALPHAD    COM    33735K108        1,660        66   SH         DEFINED      3                             66
FIRST TR LRG CP GRWTH ALPHAD    COM    33735K108      154,798     6,155   SH         DEFINED      2                          6,155
FIRST TR LRG CP VL ALPHADEX     COM    33735J101      155,483     6,566   SH         DEFINED      2                          6,566
FIRST TR LRGE CP CORE ALPHA     COM    33734K109      316,970    12,927   SH         DEFINED      4                         12,927
FIRST TR LRGE CP CORE ALPHA     COM    33734K109       62,158     2,535   SH         DEFINED      3                          2,535
FIRST TR LRGE CP CORE ALPHA     COM    33734K109      301,645    12,302   SH         DEFINED      2                         12,302
FIRST TR MID CAP CORE ALPHAD    COM    33735B108       75,787     2,662   SH         DEFINED      4                          2,662
FIRST TR MID CAP CORE ALPHAD    COM    33735B108       35,815     1,258   SH         DEFINED      3                          1,258
FIRST TR MID CAP CORE ALPHAD    COM    33735B108      115,844     4,069   SH         DEFINED      2                          4,069
FIRST TR MORNINGSTAR DIV LEA    COM    336917109      134,409     8,338   SH         DEFINED      4                          8,338
FIRST TR MORNINGSTAR DIV LEA    COM    336917109       58,225     3,612   SH         DEFINED      3                          3,612
FIRST TR MORNINGSTAR DIV LEA    COM    336917109      261,805    16,241   SH         DEFINED      2                         16,241
FIRST TR MULTI CAP VALUE ALP    COM    33733F101       67,921     2,541   SH         DEFINED      4                          2,541
FIRST TR MULTI CP VAL ALPHA     COM    33733C108        1,756        70   SH         DEFINED      3                             70
FIRST TR NAS100 EQ WEIGHTED     COM    337344105       37,230     1,730   SH         DEFINED      3                          1,730
FIRST TR NAS100 EQ WEIGHTED     COM    337344105        5,380       250   SH         DEFINED      2                            250
FIRST TR NASDAQ SMART PHONE     COM    33737K106      115,923     5,100   SH         DEFINED      3                          5,100
FIRST TR NASDAQ100 TECH INDE    COM    337345102       16,898       778   SH         DEFINED      3                            778
FIRST TR NASDAQ100 TECH INDE    COM    337345102        2,042        94   SH         DEFINED      2                             94
FIRST TR S&P REIT INDEX FD      COM    33734G108      517,398    38,100   SH         DEFINED      4                         38,100
FIRST TR S&P REIT INDEX FD      COM    33734G108      179,799    13,240   SH         DEFINED      3                         13,240
FIRST TR S&P REIT INDEX FD      COM    33734G108       38,323     2,822   SH         DEFINED      2                          2,822
FIRST TR SML CP CORE ALPHA F    COM    33734Y109       70,294     2,748   SH         DEFINED      4                          2,748
FIRST TR SML CP CORE ALPHA F    COM    33734Y109       13,046       510   SH         DEFINED      3                            510
FIRST TR SML CP CORE ALPHA F    COM    33734Y109       73,440     2,871   SH         DEFINED      2                          2,871






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
FIRST TR STRTGC HIGH INCM FD    COM    337347108       13,393     3,882   SH         DEFINED      3                          3,882
FIRST TR STRTGC HIGH INCM FD    COM    337347108        6,038     1,750   SH         DEFINED      2                          1,750
FIRST TR VALUE LINE 100 ETF     COM    33735G107        2,260       213   SH         DEFINED      3                            213
FIRST TR VALUE LINE DIVID IN    COM    33734H106        1,446       100   SH         DEFINED      4                            100
FIRST TR VALUE LINE DIVID IN    COM    33734H106       28,211     1,952   SH         DEFINED      3                          1,952
FIRST TR VALUE LINE DIVID IN    COM    33734H106        2,168       150   SH         DEFINED      2                            150
FIRST TRUST MORTGAGE INCM FD    COM    33734E103        6,102       327   SH         DEFINED      3                            327
FIRSTENERGY CORP                COM    337932107    5,678,600   126,444   SH         SOLE         1    126,444
FIRSTENERGY CORP                COM    337932107      228,996     5,099   SH         DEFINED      4                          5,099
FIRSTENERGY CORP                COM    337932107      756,464    16,844   SH         DEFINED      3                         16,844
FIRSTENERGY CORP                COM    337932107       37,275       830   SH         DEFINED      2                            830
FIRSTMERIT CORP                 COM    337915102    3,596,485   316,592   SH         SOLE         1    316,592
FIRSTMERIT CORP                 COM    337915102       11,246       990   SH         DEFINED      2                            990
FISERV INC                      COM    337738108    2,661,973    52,432   SH         SOLE         1     52,432
FISERV INC                      COM    337738108       10,154       200   SH         DEFINED      3                            200
FISERV INC                      COM    337738108        3,300        65   SH         DEFINED      2                             65
FISHER COMMUNICATIONS INC       COM    337756209      143,981     6,445   SH         SOLE         1      6,445
FIVE STAR QUALITY CARE          COM    33832D106       76,618    30,647   SH         SOLE         1     30,647
FIVE STAR QUALITY CARE INC      COM    33832D106           18         7   SH         DEFINED      2                              7
FLAGSTAR BANCORP INC            COM    337930507       69,961   142,806   SH         SOLE         1    142,806
FLAGSTAR BANCORP INC            COM    337930507          125       255   SH         DEFINED      3                            255
FLAGSTONE REINSURANCE HOLD      COM    L3466T104      296,616    38,273   SH         SOLE         1     38,273
FLAHERTY & CRMN/CLYMR PFD SE    COM    338478100      646,320    40,395   SH         DEFINED      3                         40,395
FLAHERTY & CRMRN CLYMRE T R     COM    338479108       18,341     1,053   SH         DEFINED      3                          1,053
FLAHERTY & CRUMRINE PFD INC     COM    338480106       30,547     2,283   SH         DEFINED      3                          2,283
FLEETCOR TECHNOLOGIES INC       COM    339041105        5,593       213   SH         SOLE         1        213
FLEXTRONICS INTL LTD            COM    Y2573F102      213,416    37,907   SH         SOLE         1     37,907
FLEXTRONICS INTL LTD            COM    Y2573F102        7,905     1,404   SH         DEFINED      4                          1,404
FLEXTRONICS INTL LTD            COM    Y2573F102       39,877     7,083   SH         DEFINED      3                          7,083
FLIR SYS INC                    COM    302445101        8,016       320   SH         DEFINED      3                            320
FLIR SYS INC                    COM    302445101        1,378        55   SH         DEFINED      2                             55
FLIR SYSTEMS INC                COM    302445101    1,469,583    58,666   SH         SOLE         1     58,666
FLOTEK INDS INC DEL             COM    343389102       55,106    11,800   SH         DEFINED      2                         11,800
FLOTEK INDUSTRIES INC           COM    343389102      170,306    36,468   SH         SOLE         1     36,468
FLOW INTL CORP                  COM    343468104    3,012,939 1,363,321   SH         SOLE         1  1,363,321
FLOW INTL CORP                  COM    343468104        4,420     2,000   SH         DEFINED      3                          2,000
FLOWERS FOODS INC               COM    343498101    4,805,530   246,944   SH         SOLE         1    246,944
FLOWERS FOODS INC               COM    343498101        3,055       157   SH         DEFINED      2                            157
FLOWSERVE CORP                  COM    34354P105    1,868,944    25,256   SH         SOLE         1     25,256
FLUIDIGM CORP                   COM    34385P108       65,610     4,710   SH         SOLE         1      4,710
FLUOR CORP                      COM    343412102    3,277,958    70,418   SH         SOLE         1     70,418
FLUOR CORP NEW                  COM    343412102       46,550     1,000   SH         DEFINED      4                          1,000
FLUOR CORP NEW                  COM    343412102       24,512       527   SH         DEFINED      3                            527
FLUOR CORP NEW                  COM    343412102       51,205     1,100   SH         DEFINED      2                          1,100
FLUSHING FINANCIAL CORP         COM    343873105      247,590    22,925   SH         SOLE         1     22,925
FLY LEASING LTD                 COM    34407D109        2,270       200   SH         DEFINED      2                            200
FMC CORP                        COM    302491303    1,766,277    25,539   SH         SOLE         1     25,539
FMC TECHNOLOGIES INC            COM    30249U101    3,791,734   100,844   SH         SOLE         1    100,844
FMC TECHNOLOGIES INC            COM    30249U101        2,707        72   SH         DEFINED      4                             72
FNB CORP                        COM    302520101      891,057   103,974   SH         SOLE         1    103,974
FNB CORP PA                     COM    302520101       52,761     6,156   SH         DEFINED      3                          6,156
FOMENTO ECONOMICO MEXICANO S    COM    344419106       19,446       300   SH         DEFINED      2                            300
FONAR CORP                      COM    344437405           78        40   SH         DEFINED      3                             40
FOOT LOCKER INC                 COM    344849104    6,756,729   336,323   SH         SOLE         1    336,323
FOOT LOCKER INC                 COM    344849104        6,469       322   SH         DEFINED      2                            322
FORCE PROTECTION INC            COM    345203202      199,684    51,866   SH         SOLE         1     51,866
FORCE PROTECTION INC            COM    345203202        1,540       400   SH         DEFINED      3                            400
FORD MOTOR CO                   COM    345370860   18,750,159 1,939,003   SH         SOLE         1  1,939,003
FORD MTR CO DEL                 COM    345370860      266,369    27,546   SH         DEFINED      4                         27,546
FORD MTR CO DEL                 COM    345370860    2,386,547   246,799   SH         DEFINED      3                        246,799
FORD MTR CO DEL                 COM    345370860    1,368,499   141,520   SH         DEFINED      2                        141,520
FORD MTR CO DEL                 COM    345370134        6,630     3,000   SH         DEFINED      2                          3,000
FOREST CITY ENTERPRISES CL      COM    345550107       40,657     3,814   SH         SOLE         1      3,814
FOREST CITY ENTERPRISES INC     COM    345550107        6,929       650   SH         DEFINED      2                            650
FOREST LABORATORIES INC         COM    345838106    3,630,572   117,914   SH         SOLE         1    117,914
FOREST LABS INC                 COM    345838106        6,312       205   SH         DEFINED      4                            205
FOREST LABS INC                 COM    345838106        6,928       225   SH         DEFINED      3                            225
FOREST OIL CORP                 COM    346091705    3,937,219   273,418   SH         SOLE         1    273,418
FORESTAR GROUP INC              COM    346233109      316,652    29,024   SH         SOLE         1     29,024
FORMFACTOR INC                  COM    346375108      230,466    36,993   SH         SOLE         1     36,993
FORMULA SYS 1985 LTD            COM    346414105       37,706     3,150   SH         DEFINED      2                          3,150
FORRESTER RESEARCH INC          COM    346563109      392,006    12,058   SH         SOLE         1     12,058
FORTEGRA FINANCIAL CORP         COM    34954W104       22,412     4,269   SH         SOLE         1      4,269
FORTINET INC                    COM    34959E109       27,804     1,655   SH         SOLE         1      1,655
FORTUNE BRANDS INC              COM    349631101    2,778,306    51,374   SH         SOLE         1     51,374
FORTUNE BRANDS INC              COM    349631101      135,200     2,500   SH         DEFINED      4                          2,500
FORTUNE BRANDS INC              COM    349631101        5,949       110   SH         DEFINED      2                            110
FORWARD AIR CORPORATION         COM    349853101      612,760    24,077   SH         SOLE         1     24,077
FOSSIL INC                      COM    349882100    9,378,723   115,701   SH         SOLE         1    115,701
FOSTER (LB) CO A                COM    350060109      154,432     6,947   SH         SOLE         1      6,947
FOSTER WHEELER AG               COM    H27178104       44,475     2,500   SH         DEFINED      4                          2,500






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
FOSTER WHEELER AG               COM    H27178104        5,782       325   SH         DEFINED      3                            325
FOX CHASE BANCORP INC           COM    35137T108      134,750    10,627   SH         SOLE         1     10,627
FPIC INSURANCE GROUP INC        COM    302563101      254,847     6,091   SH         SOLE         1      6,091
FRANCE TELECOM                  COM    35177Q105        1,637       100   SH         DEFINED      4                            100
FRANCE TELECOM                  COM    35177Q105       28,271     1,727   SH         DEFINED      3                          1,727
FRANCE TELECOM                  COM    35177Q105       11,279       689   SH         DEFINED      2                            689
FRANCO NEVADA CORP              COM    351858105       19,730       547   SH         DEFINED      3                            547
FRANCO NEVADA CORP              COM    351858105       36,070     1,000   SH         DEFINED      2                          1,000
FRANKLIN COVEY CO               COM    353469109       74,047     9,743   SH         SOLE         1      9,743
FRANKLIN ELECTRIC CO INC        COM    353514102      616,470    16,992   SH         SOLE         1     16,992
FRANKLIN FINANCIAL CORP/VA      COM    35353C102      111,990    10,144   SH         SOLE         1     10,144
FRANKLIN RES INC                COM    354613101        9,982       104   SH         DEFINED      4                            104
FRANKLIN RES INC                COM    354613101        8,608        90   SH         DEFINED      2                             90
FRANKLIN RESOURCES INC          COM    354613101    5,357,944    56,022   SH         SOLE         1     56,022
FRANKLIN STREET PPTYS CORP      COM    35471R106        3,393       300   SH         DEFINED      3                            300
FRANKLIN STREET PROPERTIES      COM    35471R106      654,408    57,861   SH         SOLE         1     57,861
FRANKLIN TEMPLETON LTD DUR I    COM    35472T101       19,524     1,503   SH         DEFINED      3                          1,503
FRANKLIN TEMPLETON LTD DUR I    COM    35472T101      234,794    18,075   SH         DEFINED      2                         18,075
FRANKLIN UNVL TR                COM    355145103       21,528     3,450   SH         DEFINED      3                          3,450
FRANKLIN UNVL TR                COM    355145103      186,039    29,814   SH         DEFINED      2                         29,814
FRED S INC CLASS A              COM    356108100      342,580    32,137   SH         SOLE         1     32,137
FREEPORT MCMORAN COPPER         COM    35671D857   14,789,870   485,710   SH         SOLE         1    485,710
FREEPORT-MCMORAN COPPER & GO    COM    35671D857      250,992     8,243   SH         DEFINED      4                          8,243
FREEPORT-MCMORAN COPPER & GO    COM    35671D857      718,378    23,592   SH         DEFINED      3                         23,592
FREEPORT-MCMORAN COPPER & GO    COM    35671D857      370,907    12,181   SH         DEFINED      2                         12,181
FREESCALE SEMICONDUCTOR HO      COM    G3727Q101        9,320       845   SH         SOLE         1        845
FREIGHTCAR AMER INC             COM    357023100        2,963       206   SH         DEFINED      3                            206
FREIGHTCAR AMERICA INC          COM    357023100      125,756     8,727   SH         SOLE         1      8,727
FRESENIUS KABI PHARMA CVR       COM    35802M115            0       666   SH         SOLE         1        666
FRESENIUS MED CARE AG&CO KGA    COM    358029106       40,518       600   SH         DEFINED      3                            600
FRESH DEL MONTE PRODUCE IN      COM    G36738105      618,582    26,663   SH         SOLE         1     26,663
FRESH DEL MONTE PRODUCE INC     COM    G36738105          371        16   SH         DEFINED      3                             16
FRESH MARKET INC/THE            COM    35804H106      783,806    20,540   SH         SOLE         1     20,540
FRIENDFINDER NETWORKS INC       COM    358453306        7,446     4,047   SH         SOLE         1      4,047
FRONTIER COMMUNICATIONS CO      COM    35906A108    4,477,604   732,832   SH         SOLE         1    732,832
FRONTIER COMMUNICATIONS CORP    COM    35906A108      468,381    76,658   SH         DEFINED      4                         76,658
FRONTIER COMMUNICATIONS CORP    COM    35906A108      437,654    71,629   SH         DEFINED      3                         71,629
FRONTIER COMMUNICATIONS CORP    COM    35906A108      164,581    26,936   SH         DEFINED      2                         26,936
FRONTLINE LTD                   COM    G3682E127      182,583    37,646   SH         SOLE         1     37,646
FRONTLINE LTD                   COM    G3682E127      149,356    30,795   SH         DEFINED      3                         30,795
FRONTLINE LTD                   COM    G3682E127        8,032     1,656   SH         DEFINED      2                          1,656
FROZEN FOOD EXPRESS INDS INC    COM    359360104            2         1   SH         DEFINED      3                              1
FSI INTL INC                    COM    302633102       53,421    28,265   SH         SOLE         1     28,265
FTI CONSULTING INC              COM    302941109    4,447,127   120,813   SH         SOLE         1    120,813
FUEL SYS SOLUTIONS INC          COM    35952W103        9,605       500   SH         DEFINED      2                            500
FUEL SYSTEMS SOLUTIONS INC      COM    35952W103      233,440    12,152   SH         SOLE         1     12,152
FUEL TECH INC                   COM    359523107       77,534    13,322   SH         SOLE         1     13,322
FUEL TECH INC                   COM    359523107        2,910       500   SH         DEFINED      4                            500
FUEL TECH INC                   COM    359523107        1,164       200   SH         DEFINED      3                            200
FUELCELL ENERGY INC             COM    35952H106       76,213    90,740   SH         SOLE         1     90,740
FULTON FINANCIAL CORP           COM    360271100    3,355,573   438,637   SH         SOLE         1    438,637
FULTON FINL CORP PA             COM    360271100       32,597     4,261   SH         DEFINED      2                          4,261
FURIEX PHARMACEUTICALS          COM    36106P101      102,698     7,217   SH         SOLE         1      7,217
FURMANITE CORP                  COM    361086101      145,994    26,986   SH         SOLE         1     26,986
FURNITURE BRANDS INTL INC       COM    360921100       63,096    30,629   SH         SOLE         1     30,629
FUSION-IO INC                   COM    36112J107          437        23   SH         DEFINED      3                             23
FUTUREFUEL CORP                 COM    36116M106      141,835    13,638   SH         SOLE         1     13,638
FX ENERGY INC                   COM    302695101      157,811    38,211   SH         SOLE         1     38,211
FXCM INC A                      COM    302693106      177,353    12,650   SH         SOLE         1     12,650
G + K SERVICES INC  CL A        COM    361268105      391,528    15,330   SH         SOLE         1     15,330
G III APPAREL GROUP LTD         COM    36237H101      275,669    12,059   SH         SOLE         1     12,059
GABELLI DIVD & INCOME TR        COM    36242H104        3,217       235   SH         DEFINED      3                            235
GABELLI DIVD & INCOME TR        COM    36242H104       34,225     2,500   SH         DEFINED      2                          2,500
GABELLI EQUITY TR INC           COM    362397101       11,044     2,325   SH         DEFINED      3                          2,325
GABELLI EQUITY TR INC           COM    362397101        2,242       472   SH         DEFINED      2                            472
GABELLI GLB GLD NAT RES & IN    COM    36244N109      264,735    18,500   SH         DEFINED      4                         18,500
GABELLI GLB GLD NAT RES & IN    COM    36244N109       34,258     2,394   SH         DEFINED      3                          2,394
GABELLI GLB GLD NAT RES & IN    COM    36244N109       32,941     2,302   SH         DEFINED      2                          2,302
GABELLI GLOBAL MULTIMEDIA TR    COM    36239Q109          892       144   SH         DEFINED      3                            144
GABELLI HLTHCARE & WELLNESS     COM    36246K103          775       116   SH         DEFINED      3                            116
GABELLI HLTHCARE & WELLNESS     COM    36246K103          207        31   SH         DEFINED      2                             31
GABELLI UTIL TR                 COM    36240A101       24,655     3,594   SH         DEFINED      3                          3,594
GABELLI UTIL TR                 COM    36240A101          460        67   SH         DEFINED      2                             67
GAIAM INC                       COM    36268Q103        1,695       500   SH         DEFINED      4                            500
GAIN CAPITAL HOLDINGS INC       COM    36268W100       34,249     5,445   SH         SOLE         1      5,445
GALLAGHER ARTHUR J & CO         COM    363576109        5,260       200   SH         DEFINED      3                            200
GALLAGHER ARTHUR J & CO         COM    363576109      108,748     4,135   SH         DEFINED      2                          4,135
GAMCO INVESTORS INC A           COM    361438104      195,335     4,959   SH         SOLE         1      4,959
GAMESTOP CORP CLASS A           COM    36467W109    1,072,533    46,430   SH         SOLE         1     46,430
GAMESTOP CORP NEW               COM    36467W109        2,310       100   SH         DEFINED      3                            100
GAMESTOP CORP NEW               COM    36467W109        9,748       422   SH         DEFINED      2                            422






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
GANNETT CO                      COM    364730101      757,683    79,505   SH         SOLE         1     79,505
GANNETT INC                     COM    364730101       28,590     3,000   SH         DEFINED      3                          3,000
GAP INC DEL                     COM    364760108        2,192       135   SH         DEFINED      3                            135
GAP INC DEL                     COM    364760108       33,827     2,083   SH         DEFINED      2                          2,083
GAP INC/THE                     COM    364760108    2,146,002   132,143   SH         SOLE         1    132,143
GARDNER DENVER INC              COM    365558105    7,259,444   114,232   SH         SOLE         1    114,232
GARMIN LTD                      COM    H2906T109   32,415,757 1,020,326   SH         SOLE         1  1,020,326
GARMIN LTD                      COM    H2906T109       17,283       544   SH         DEFINED      4                            544
GARMIN LTD                      COM    H2906T109      191,764     6,036   SH         DEFINED      3                          6,036
GARTNER INC                     COM    366651107    7,348,608   210,743   SH         SOLE         1    210,743
GASCO ENERGY INC                COM    367220100          703     3,700   SH         DEFINED      4                          3,700
GASTAR EXPLORATION LTD          COM    367299203    3,726,000 1,242,000   SH         SOLE         1  1,242,000
GATX CORP                       COM    361448103    3,169,936   102,289   SH         SOLE         1    102,289
GAYLORD ENTERTAINMENT CO        COM    367905106      503,459    26,032   SH         SOLE         1     26,032
GAYLORD ENTMT CO NEW            COM    367905106        1,451        75   SH         DEFINED      2                             75
GEEKNET INC                     COM    36846Q203       64,664     3,198   SH         SOLE         1      3,198
GEEKNET INC                     COM    36846Q203           61         3   SH         DEFINED      3                              3
GEN PROBE INC                   COM    36866T103    6,015,086   105,067   SH         SOLE         1    105,067
GENCO SHIPPING & TRADING LTD    COM    Y2685T107        8,591     1,100   SH         DEFINED      3                          1,100
GENCO SHIPPING + TRADING L      COM    Y2685T107      168,571    21,584   SH         SOLE         1     21,584
GENCORP INC                     COM    368682100      215,911    48,087   SH         SOLE         1     48,087
GENCORP INC                     COM    368682100           54        12   SH         DEFINED      2                             12
GENERAC HLDGS INC               COM    368736104       18,810     1,000   SH         DEFINED      4                          1,000
GENERAC HOLDINGS INC            COM    368736104      342,511    18,209   SH         SOLE         1     18,209
GENERAL AMERN INVS INC          COM    368802104       14,212       619   SH         DEFINED      2                            619
GENERAL CABLE CORP              COM    369300108    2,666,266   114,187   SH         SOLE         1    114,187
GENERAL COMMUNICATION INC       COM    369385109      274,511    33,477   SH         SOLE         1     33,477
GENERAL DYNAMICS CORP           COM    369550108   33,569,765   590,082   SH         SOLE         1    590,082
GENERAL DYNAMICS CORP           COM    369550108        3,812        67   SH         DEFINED      4                             67
GENERAL DYNAMICS CORP           COM    369550108       22,877       402   SH         DEFINED      3                            402
GENERAL DYNAMICS CORP           COM    369550108       12,516       220   SH         DEFINED      2                            220
GENERAL ELECTRIC CO             COM    369604103   61,894,151 4,061,296   SH         SOLE         1  4,061,296
GENERAL ELECTRIC CO             COM    369604103    1,377,140    90,482   SH         DEFINED      4                         90,482
GENERAL ELECTRIC CO             COM    369604903        1,760        20   SH  C      DEFINED      4                             20
GENERAL ELECTRIC CO             COM    369604103    2,746,747   180,470   SH         DEFINED      3                        180,470
GENERAL ELECTRIC CO             COM    369604103    1,369,985    90,012   SH         DEFINED      2                         90,012
GENERAL EMPLOYMENT ENTERPRIS    COM    369730106           26       115   SH         DEFINED      3                            115
GENERAL GROWTH PPTYS INC NEW    COM    370023103          121        10   SH         DEFINED      4                             10
GENERAL GROWTH PPTYS INC NEW    COM    370023103       17,436     1,441   SH         DEFINED      3                          1,441
GENERAL GROWTH PROPERTIES       COM    370023103      215,138    17,780   SH         SOLE         1     17,780
GENERAL MARITIME CORP           COM    Y2693R101       22,036    84,753   SH         SOLE         1     84,753
GENERAL MARITIME CORP NEW       COM    Y2693R101       20,379    78,380   SH         DEFINED      3                         78,380
GENERAL MILLS INC               COM    370334104   14,967,407   389,067   SH         SOLE         1    389,067
GENERAL MLS INC                 COM    370334104      227,129     5,901   SH         DEFINED      4                          5,901
GENERAL MLS INC                 COM    370334104      740,158    19,230   SH         DEFINED      3                         19,230
GENERAL MLS INC                 COM    370334104      181,673     4,720   SH         DEFINED      2                          4,720
GENERAL MOLY INC                COM    370373102      142,802    49,242   SH         SOLE         1     49,242
GENERAL MOLY INC                COM    370373102          290       100   SH         DEFINED      4                            100
GENERAL MTRS CO                 COM    37045V100      109,335     5,418   SH         DEFINED      4                          5,418
GENERAL MTRS CO                 COM    37045V118        2,049       176   SH         DEFINED      4                            176
GENERAL MTRS CO                 COM    37045V126        1,396       176   SH         DEFINED      4                            176
GENERAL MTRS CO                 COM    37045V209       35,080     1,000   SH         DEFINED      4                          1,000
GENERAL MTRS CO                 COM    37045V100      196,109     9,718   SH         DEFINED      3                          9,718
GENERAL MTRS CO                 COM    37045V118       13,386     1,150   SH         DEFINED      3                          1,150
GENERAL MTRS CO                 COM    37045V126        9,120     1,150   SH         DEFINED      3                          1,150
GENERAL MTRS CO                 COM    37045V100      103,887     5,148   SH         DEFINED      2                          5,148
GENERAL MTRS CO                 COM    37045V118       10,499       902   SH         DEFINED      2                            902
GENERAL MTRS CO                 COM    37045V126        7,153       902   SH         DEFINED      2                            902
GENERAL STEEL HOLDINGS INC      COM    370853103        2,856     2,400   SH         DEFINED      2                          2,400
GENESCO INC                     COM    371532102    1,002,259    19,450   SH         SOLE         1     19,450
GENESEE & WYO INC               COM    371559105        4,652       100   SH         DEFINED      2                            100
GENESEE + WYOMING INC CL A      COM    371559105    1,346,335    28,941   SH         SOLE         1     28,941
GENESIS ENERGY L P              COM    371927104       45,999     1,900   SH         DEFINED      4                          1,900
GENESIS ENERGY L P              COM    371927104      227,090     9,380   SH         DEFINED      3                          9,380
GENOMIC HEALTH INC              COM    37244C101      272,970    12,419   SH         SOLE         1     12,419
GENOMIC HEALTH INC              COM    37244C101       32,970     1,500   SH         DEFINED      3                          1,500
GENON ENERGY INC                COM    37244E107       67,982    24,454   SH         SOLE         1     24,454
GENON ENERGY INC                COM    37244E107           56        20   SH         DEFINED      3                             20
GENPACT LTD                     COM    G3922B107       30,363     2,110   SH         SOLE         1      2,110
GEN-PROBE INC NEW               COM    36866T103          515         9   SH         DEFINED      3                              9
GENTEX CORP                     COM    371901109    7,515,096   312,478   SH         SOLE         1    312,478
GENTEX CORP                     COM    371901109       26,840     1,116   SH         DEFINED      3                          1,116
GENTIVA HEALTH SERVICES         COM    37247A102      138,282    25,051   SH         SOLE         1     25,051
GENUINE PARTS CO                COM    372460105    4,607,408    90,697   SH         SOLE         1     90,697
GENUINE PARTS CO                COM    372460105        5,080       100   SH         DEFINED      4                            100
GENUINE PARTS CO                COM    372460105      125,781     2,476   SH         DEFINED      3                          2,476
GENWORTH FINANCIAL INC CL       COM    37247D106      940,000   163,763   SH         SOLE         1    163,763
GENWORTH FINL INC               COM    37247D106       49,938     8,700   SH         DEFINED      3                          8,700
GENWORTH FINL INC               COM    37247D106       36,902     6,429   SH         DEFINED      2                          6,429
GEO GROUP INC/THE               COM    36159R103      986,724    53,164   SH         SOLE         1     53,164
GEOEYE INC                      COM    37250W108      459,100    16,194   SH         SOLE         1     16,194






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
GEOKINETICS INC                 COM    372910307       18,871     7,798   SH         SOLE         1      7,798
GEORESOURCES INC                COM    372476101      292,058    16,417   SH         SOLE         1     16,417
GEORGIA GULF CORP               COM    373200302      343,122    24,810   SH         SOLE         1     24,810
GERBER SCIENTIFIC INC COM       COM    37373ESC5            0    21,242   SH         SOLE         1     21,242
GERDAU S A                      COM    373737105       16,756     2,350   SH         DEFINED      4                          2,350
GERDAU S A                      COM    373737105       16,043     2,250   SH         DEFINED      2                          2,250
GERMAN AMERICAN BANCORP         COM    373865104      148,256     9,197   SH         SOLE         1      9,197
GERON CORP                      COM    374163103      199,732    94,213   SH         SOLE         1     94,213
GERON CORP                      COM    374163103        2,544     1,200   SH         DEFINED      3                          1,200
GETTY REALTY CORP               COM    374297109      306,497    21,255   SH         SOLE         1     21,255
GETTY RLTY CORP NEW             COM    374297109        4,326       300   SH         DEFINED      4                            300
GETTY RLTY CORP NEW             COM    374297109       85,179     5,907   SH         DEFINED      3                          5,907
GEVO INC                        COM    374396109       24,185     4,342   SH         SOLE         1      4,342
GFI GROUP INC                   COM    361652209      207,468    51,609   SH         SOLE         1     51,609
GIBRALTAR INDUSTRIES INC        COM    374689107      202,261    24,909   SH         SOLE         1     24,909
GILEAD SCIENCES INC             COM    375558103   17,058,614   439,655   SH         SOLE         1    439,655
GILEAD SCIENCES INC             COM    375558103      202,769     5,226   SH         DEFINED      4                          5,226
GILEAD SCIENCES INC             COM    375558103       49,936     1,287   SH         DEFINED      3                          1,287
GILEAD SCIENCES INC             COM    375558103        8,575       221   SH         DEFINED      2                            221
GLACIER BANCORP INC             COM    37637Q105      552,015    58,913   SH         SOLE         1     58,913
GLADSTONE CAPITAL CORP          COM    376535100      105,418    15,367   SH         SOLE         1     15,367
GLADSTONE CAPITAL CORP          COM    376535100           21         3   SH         DEFINED      3                              3
GLADSTONE CAPITAL CORP          COM    376535100        3,210       468   SH         DEFINED      2                            468
GLADSTONE COMMERCIAL CORP       COM    376536108      125,362     7,995   SH         SOLE         1      7,995
GLADSTONE INVESTMENT CORP       COM    376546107      109,664    16,127   SH         SOLE         1     16,127
GLADSTONE INVT CORP             COM    376546107        1,428       210   SH         DEFINED      2                            210
GLATFELTER                      COM    377316104      444,199    33,626   SH         SOLE         1     33,626
GLATFELTER                      COM    377316104        6,605       500   SH         DEFINED      4                            500
GLAXOSMITHKLINE PLC             COM    37733W105       76,085     1,843   SH         DEFINED      4                          1,843
GLAXOSMITHKLINE PLC             COM    37733W105      388,911     9,419   SH         DEFINED      3                          9,419
GLAXOSMITHKLINE PLC             COM    37733W105       36,294       879   SH         DEFINED      2                            879
GLEACHER + CO INC               COM    377341102       68,480    57,546   SH         SOLE         1     57,546
GLIMCHER REALTY TRUST           COM    379302102      554,130    78,267   SH         SOLE         1     78,267
GLOBAL CASH ACCESS HOLDING      COM    378967103      120,602    47,110   SH         SOLE         1     47,110
GLOBAL CROSSING LTD             COM    G3921A175      535,847    22,411   SH         SOLE         1     22,411
GLOBAL GEOPHYSICAL SERVICE      COM    37946S107      105,443    13,230   SH         SOLE         1     13,230
GLOBAL HIGH INCOME FUND INC     COM    37933G108       17,552     1,490   SH         DEFINED      3                          1,490
GLOBAL HIGH INCOME FUND INC     COM    37933G108       28,272     2,400   SH         DEFINED      2                          2,400
GLOBAL INCOME&CURRENCY FD IN    COM    378968101        6,500       500   SH         DEFINED      4                            500
GLOBAL INCOME&CURRENCY FD IN    COM    378968101       10,400       800   SH         DEFINED      3                            800
GLOBAL INDEMNITY PLC            COM    G39319101      168,853     9,886   SH         SOLE         1      9,886
GLOBAL INDUSTRIES LTD           COM    379336100      585,573    73,936   SH         SOLE         1     73,936
GLOBAL PAYMENTS INC             COM    37940X102    7,083,558   175,379   SH         SOLE         1    175,379
GLOBAL PMTS INC                 COM    37940X102          646        16   SH         DEFINED      3                             16
GLOBAL PMTS INC                 COM    37940X102       39,178       970   SH         DEFINED      2                            970
GLOBAL POWER EQUIPMENT GRO      COM    37941P306      267,768    11,507   SH         SOLE         1     11,507
GLOBAL SHIP LEASE INC NEW       COM    Y27183105          420       200   SH         DEFINED      4                            200
GLOBAL SOURCES LTD              COM    G39300101       56,333     8,321   SH         SOLE         1      8,321
GLOBAL X FDS                    COM    37950E762        1,348       100   SH         DEFINED      4                            100
GLOBAL X FDS                    COM    37950E648       14,971     1,100   SH         DEFINED      4                          1,100
GLOBAL X FDS                    COM    37950E754       55,647     7,035   SH         DEFINED      2                          7,035
GLOBAL X FDS                    COM    37950E853        7,808       375   SH         DEFINED      2                            375
GLOBAL X FDS                    COM    37950E861        4,628       400   SH         DEFINED      2                            400
GLOBAL X FDS                    COM    37950E549        1,969       100   SH         DEFINED      2                            100
GLOBAL X FDS                    COM    37950E747        5,915       500   SH         DEFINED      2                            500
GLOBAL X FDS                    COM    37950E788       42,900     3,300   SH         DEFINED      2                          3,300
GLOBALSTAR INC                  COM    378973408       30,549    74,691   SH         SOLE         1     74,691
GLOBE SPECIALTY METALS INC      COM    37954N206      668,399    46,033   SH         SOLE         1     46,033
GLOBECOMM SYSTEMS INC           COM    37956X103      221,253    16,377   SH         SOLE         1     16,377
GLU MOBILE INC                  COM    379890106       64,589    30,611   SH         SOLE         1     30,611
GMX RESOURCES INC               COM    38011M108       99,428    43,801   SH         SOLE         1     43,801
GNC HOLDINGS INC CL A           COM    36191G107      335,722    16,686   SH         SOLE         1     16,686
GOL LINHAS AEREAS INTLG S A     COM    38045R107        1,668       300   SH         DEFINED      4                            300
GOLAR LNG LTD                   COM    G9456A100   38,301,542 1,205,209   SH         SOLE         1  1,205,209
GOLAR LNG LTD BERMUDA           COM    G9456A100        6,356       200   SH         DEFINED      3                            200
GOLD RESOURCE CORP              COM    38068T105      345,438    20,747   SH         SOLE         1     20,747
GOLD RESOURCE CORP              COM    38068T105        9,990       600   SH         DEFINED      4                            600
GOLD RESOURCE CORP              COM    38068T105        7,909       475   SH         DEFINED      3                            475
GOLD RESV INC                   CNV    38068NAB4          840         1   PRN        DEFINED      3                              1
GOLDCORP INC NEW                COM    380956409       57,997     1,271   SH         DEFINED      4                          1,271
GOLDCORP INC NEW                COM    380956959          445         1   SH  P      DEFINED      4                              1
GOLDCORP INC NEW                COM    380956409      477,075    10,453   SH         DEFINED      3                         10,453
GOLDCORP INC NEW                COM    380956409       69,784     1,529   SH         DEFINED      2                          1,529
GOLDEN MINERALS CO              COM    381119106      151,538    20,368   SH         SOLE         1     20,368
GOLDEN STAR RESOURCES LTD       COM    38119T104      351,257   188,848   SH         SOLE         1    188,848
GOLDMAN SACHS GROUP INC         COM    38141G104   19,236,103   203,449   SH         SOLE         1    203,449
GOLDMAN SACHS GROUP INC         COM    38141G104      193,638     2,048   SH         DEFINED      4                          2,048
GOLDMAN SACHS GROUP INC         COM    38141G104      117,147     1,239   SH         DEFINED      3                          1,239
GOLDMAN SACHS GROUP INC         COM    38141G104      187,965     1,988   SH         DEFINED      2                          1,988
GOLUB CAPITAL BDC INC           COM    38173M102      111,137     7,484   SH         SOLE         1      7,484
GOODRICH CORP                   COM    382388106    4,880,661    40,443   SH         SOLE         1     40,443






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
GOODRICH CORP                   COM    382388106      205,880     1,706   SH         DEFINED      3                          1,706
GOODRICH PETROLEUM CORP         COM    382410405      223,705    18,926   SH         SOLE         1     18,926
GOODYEAR TIRE & RUBR CO         COM    382550101        6,054       600   SH         DEFINED      2                            600
GOODYEAR TIRE + RUBBER CO       COM    382550101      779,563    77,261   SH         SOLE         1     77,261
GOOGLE INC                      COM    38259P508      186,444       362   SH         DEFINED      4                            362
GOOGLE INC                      COM    38259P508      872,478     1,694   SH         DEFINED      3                          1,694
GOOGLE INC                      COM    38259P508      548,003     1,064   SH         DEFINED      2                          1,064
GOOGLE INC CL A                 COM    38259P508   85,392,224   166,010   SH         SOLE         1    166,010
GORDMANS STORES INC             COM    38269P100       46,599     3,893   SH         SOLE         1      3,893
GORMAN RUPP CO                  COM    383082104      274,355    11,112   SH         SOLE         1     11,112
GOVERNMENT PPTYS INCOME TR      COM    38376A103       34,416     1,600   SH         DEFINED      4                          1,600
GOVERNMENT PPTYS INCOME TR      COM    38376A103        4,302       200   SH         DEFINED      3                            200
GOVERNMENT PROPERTIES INCO      COM    38376A103      556,141    25,855   SH         SOLE         1     25,855
GP STRATEGIES CORP              COM    36225V104      108,232    10,834   SH         SOLE         1     10,834
GP STRATEGIES CORP              COM    36225V104        4,995       500   SH         DEFINED      3                            500
GRACO INC                       COM    384109104    4,531,846   132,743   SH         SOLE         1    132,743
GRACO INC                       COM    384109104        6,828       200   SH         DEFINED      4                            200
GRAFTECH INTERNATIONAL LTD      COM    384313102       44,082     3,471   SH         SOLE         1      3,471
GRAHAM CORP                     COM    384556106      119,592     7,187   SH         SOLE         1      7,187
GRAHAM CORP                     COM    384556106        6,656       400   SH         DEFINED      3                            400
GRAINGER W W INC                COM    384802104      109,762       734   SH         DEFINED      4                            734
GRAINGER W W INC                COM    384802104       10,916        73   SH         DEFINED      3                             73
GRAN TIERRA ENERGY INC          COM    38500T101        9,540     2,000   SH         DEFINED      4                          2,000
GRAN TIERRA ENERGY INC          COM    38500T101       31,768     6,660   SH         DEFINED      2                          6,660
GRAND CANYON ED INC             COM    38526M106       16,150     1,000   SH         DEFINED      2                          1,000
GRAND CANYON EDUCATION INC      COM    38526M106      338,133    20,937   SH         SOLE         1     20,937
GRANITE CONSTRUCTION INC        COM    387328107    1,945,004   103,623   SH         SOLE         1    103,623
GRAPHIC PACKAGING HLDG CO       COM    388689101       26,565     7,700   SH         DEFINED      2                          7,700
GRAPHIC PACKAGING HOLDING       COM    388689101      402,770   116,745   SH         SOLE         1    116,745
GRAY TELEVISION INC             COM    389375106       56,519    36,230   SH         SOLE         1     36,230
GRAY TELEVISION INC             COM    389375106        5,616     3,600   SH         DEFINED      3                          3,600
GREAT BASIN GOLD LTD            COM    390124105       16,900    10,000   SH         DEFINED      4                         10,000
GREAT BASIN GOLD LTD            COM    390124105          149        88   SH         DEFINED      3                             88
GREAT LAKES DREDGE & DOCK CO    COM    390607109        1,221       300   SH         DEFINED      4                            300
GREAT LAKES DREDGE + DOCK       COM    390607109      174,835    42,957   SH         SOLE         1     42,957
GREAT PANTHER SILVER LTD        COM    39115V101        2,520     1,000   SH         DEFINED      2                          1,000
GREAT PLAINS ENERGY INC         COM    391164100    5,773,132   299,126   SH         SOLE         1    299,126
GREAT PLAINS ENERGY INC         COM    391164100        5,790       300   SH         DEFINED      3                            300
GREAT PLAINS ENERGY INC         COM    391164100       31,363     1,625   SH         DEFINED      2                          1,625
GREAT SOUTHERN BANCORP INC      COM    390905107      124,491     7,419   SH         SOLE         1      7,419
GREAT SOUTHN BANCORP INC        COM    390905107        3,356       200   SH         DEFINED      2                            200
GREATBATCH INC                  COM    39153L106      382,211    19,101   SH         SOLE         1     19,101
GREATBATCH INC                  COM    39153L106        4,502       225   SH         DEFINED      3                            225
GREATER CHINA FD INC            COM    39167B102        5,983       613   SH         DEFINED      2                            613
GREEN DOT CORP CLASS A          COM    39304D102        9,960       318   SH         SOLE         1        318
GREEN MOUNTAIN COFFEE ROAS      COM    393122106   26,809,379   288,459   SH         SOLE         1    288,459
GREEN MTN COFFEE ROASTERS IN    COM    393122106      174,263     1,875   SH         DEFINED      3                          1,875
GREEN MTN COFFEE ROASTERS IN    COM    393122106       76,768       826   SH         DEFINED      2                            826
GREEN PLAINS RENEWABLE ENE      COM    393222104      141,210    15,135   SH         SOLE         1     15,135
GREENBRIER COMPANIES INC        COM    393657101      156,832    13,462   SH         SOLE         1     13,462
GREENBRIER COS INC              COM    393657101       20,970     1,800   SH         DEFINED      2                          1,800
GREENHAVEN CONT CMDTY INDEX     COM    395258106       18,022       594   SH         DEFINED      4                            594
GREENHAVEN CONT CMDTY INDEX     COM    395258106      122,452     4,036   SH         DEFINED      3                          4,036
GREENHAVEN CONT CMDTY INDEX     COM    395258106    1,845,977    60,843   SH         DEFINED      2                         60,843
GREENHILL + CO INC              COM    395259104    1,815,322    63,495   SH         SOLE         1     63,495
GREENLIGHT CAPITAL RE LTD       COM    G4095J109      424,548    20,470   SH         SOLE         1     20,470
GREIF INC                       COM    397624107       17,585       410   SH         DEFINED      3                            410
GREIF INC CL A                  COM    397624107    2,906,312    67,762   SH         SOLE         1     67,762
GRIFFIN LAND + NURSERIES        COM    398231100       46,789     1,822   SH         SOLE         1      1,822
GRIFFON CORP                    COM    398433102      319,331    39,038   SH         SOLE         1     39,038
GROUP 1 AUTOMOTIVE INC          COM    398905109      698,380    19,645   SH         SOLE         1     19,645
GROUPE CGI INC                  COM    39945C109          884        47   SH         DEFINED      3                             47
GROUPE CGI INC                  COM    39945C109           19         1   SH         DEFINED      2                              1
GRUPO AEROPORTUARIO DEL SURE    COM    40051E202        2,486        50   SH         DEFINED      3                             50
GRUPO TELEVISA SA DE CV         COM    40049J206        1,103        60   SH         DEFINED      4                             60
GRUPO TELEVISA SA DE CV         COM    40049J206        2,207       120   SH         DEFINED      3                            120
GS FIN CORP                     COM    362273104        1,431        91   SH         DEFINED      4                             91
GSI GROUP INC                   COM    36191C205      144,983    18,878   SH         SOLE         1     18,878
GSI TECHNOLOGY INC              COM    36241U106       72,457    14,727   SH         SOLE         1     14,727
GT ADVANCED TECHNOLOGIES I      COM    36191U106      724,408   103,192   SH         SOLE         1    103,192
GT ADVANCED TECHNOLOGIES INC    COM    36191U106           21         3   SH         DEFINED      3                              3
GTX INC                         COM    40052B108       53,577    15,993   SH         SOLE         1     15,993
GUANGSHEN RY LTD                COM    40065W107       31,916     2,155   SH         DEFINED      4                          2,155
GUESS? INC                      COM    401617105    9,014,122   316,396   SH         SOLE         1    316,396
GUGGENHEIM ENHANCED EQUITY S    COM    40167K100       11,484       807   SH         DEFINED      4                            807
GUGGENHEIM ENHANCED EQUITY S    COM    40167K100        2,846       200   SH         DEFINED      3                            200
GUGGENHEIM ENHNCD EQTY INCM     COM    40167B100       22,405     2,964   SH         DEFINED      3                          2,964
GUGGENHEIM STRATEGIC OPP FD     COM    40167F101      189,266     9,435   SH         DEFINED      3                          9,435
GUIDANCE SOFTWARE INC           COM    401692108       65,874    10,150   SH         SOLE         1     10,150
GULF ISLAND FABRICATION IN      COM    402307102      243,073    11,754   SH         SOLE         1     11,754
GULFMARK OFFSHORE INC CL A      COM    402629208      630,208    17,342   SH         SOLE         1     17,342






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
GULFPORT ENERGY CORP            COM    402635304      826,134    34,166   SH         SOLE         1     34,166
GULFPORT ENERGY CORP            COM    402635304        2,902       120   SH         DEFINED      4                            120
GULFPORT ENERGY CORP            COM    402635304        3,482       144   SH         DEFINED      3                            144
H & E EQUIPMENT SERVICES INC    COM    404030108          825       100   SH         DEFINED      2                            100
H & Q HEALTHCARE INVESTORS      COM    404052102        7,272       553   SH         DEFINED      3                            553
H & Q LIFE SCIENCES INVS        COM    404053100        4,927       471   SH         DEFINED      4                            471
H.B. FULLER CO.                 COM    359694106      737,618    40,484   SH         SOLE         1     40,484
H+E EQUIPMENT SERVICES INC      COM    404030108      172,227    20,876   SH         SOLE         1     20,876
H+R BLOCK INC                   COM    093671105   38,483,429 2,891,317   SH         SOLE         1  2,891,317
HACKETT GROUP INC/THE           COM    404609109       82,925    22,232   SH         SOLE         1     22,232
HAEMONETICS CORP/MASS           COM    405024100    1,230,829    21,047   SH         SOLE         1     21,047
HAIN CELESTIAL GROUP INC        COM    405217100      918,119    30,053   SH         SOLE         1     30,053
HAIN CELESTIAL GROUP INC        COM    405217100       24,440       800   SH         DEFINED      4                            800
HAIN CELESTIAL GROUP INC        COM    405217100       13,442       440   SH         DEFINED      3                            440
HALLADOR ENERGY CO              COM    40609P105       27,966     3,267   SH         SOLE         1      3,267
HALLIBURTON CO                  COM    406216101   12,488,753   409,199   SH         SOLE         1    409,199
HALLIBURTON CO                  COM    406216101      300,775     9,855   SH         DEFINED      4                          9,855
HALLIBURTON CO                  COM    406216101      439,122    14,388   SH         DEFINED      3                         14,388
HALLIBURTON CO                  COM    406216101       86,390     2,831   SH         DEFINED      2                          2,831
HALLMARK FINL SERVICES INC      COM    40624Q203       64,996     8,819   SH         SOLE         1      8,819
HALOZYME THERAPEUTICS INC       COM    40637H109      367,903    59,919   SH         SOLE         1     59,919
HALOZYME THERAPEUTICS INC       COM    40637H109        3,070       500   SH         DEFINED      4                            500
HALOZYME THERAPEUTICS INC       COM    40637H109          614       100   SH         DEFINED      3                            100
HAMPTON ROADS BANKSHARES I      COM    409321502       33,694     7,169   SH         SOLE         1      7,169
HANCOCK HOLDING CO              COM    410120109    6,409,365   239,334   SH         SOLE         1    239,334
HANCOCK JOHN INV TRUST          COM    41013P749        1,568       128   SH         DEFINED      2                            128
HANCOCK JOHN PFD INCOME FD      COM    41013W108       35,887     1,700   SH         DEFINED      4                          1,700
HANCOCK JOHN PFD INCOME FD      COM    41013W108      155,370     7,360   SH         DEFINED      3                          7,360
HANCOCK JOHN PFD INCOME FD      COM    41013W108       52,775     2,500   SH         DEFINED      2                          2,500
HANCOCK JOHN PFD INCOME FD I    COM    41013X106       23,424     1,200   SH         DEFINED      4                          1,200
HANCOCK JOHN PFD INCOME FD I    COM    41021P103       16,140     1,000   SH         DEFINED      3                          1,000
HANCOCK JOHN PFD INCOME FD I    COM    41013X106       14,689       752   SH         DEFINED      2                            752
HANCOCK JOHN PREMUIM DIV FD     COM    41013T105       16,702     1,400   SH         DEFINED      4                          1,400
HANCOCK JOHN PREMUIM DIV FD     COM    41013T105      332,561    27,876   SH         DEFINED      3                         27,876
HANCOCK JOHN TAX-ADV DIV INC    COM    41013V100       48,453     3,100   SH         DEFINED      4                          3,100
HANDY + HARMAN LTD              COM    410315105       43,084     4,270   SH         SOLE         1      4,270
HANESBRANDS INC                 COM    410345102    6,893,381   275,625   SH         SOLE         1    275,625
HANESBRANDS INC                 COM    410345102        2,826       113   SH         DEFINED      4                            113
HANESBRANDS INC                 COM    410345102       26,786     1,071   SH         DEFINED      3                          1,071
HANGER ORTHOPEDIC GROUP IN      COM    41043F208      518,379    27,442   SH         SOLE         1     27,442
HANMI FINANCIAL CORPORATIO      COM    410495105      102,845   123,910   SH         SOLE         1    123,910
HANOVER COMPRESSOR CO           CNV    410768AE5       13,875        15   PRN        DEFINED      3                             15
HANOVER INS GROUP INC           COM    410867105        2,308        65   SH         DEFINED      2                             65
HANOVER INSURANCE GROUP IN      COM    410867105    3,541,587    99,763   SH         SOLE         1     99,763
HANSEN MEDICAL INC              COM    411307101      113,617    34,222   SH         SOLE         1     34,222
HANSEN NAT CORP                 COM    411310105       67,562       774   SH         DEFINED      3                            774
HANSEN NAT CORP                 COM    411310105        5,412        62   SH         DEFINED      2                             62
HANSEN NATURAL CORP             COM    411310105   14,678,425   168,157   SH         SOLE         1    168,157
HANWHA SOLARONE CO LTD          COM    41135V103          241       100   SH         DEFINED      4                            100
HANWHA SOLARONE CO LTD          COM    41135V103          482       200   SH         DEFINED      2                            200
HARBIN ELECTRIC INC             COM    41145W109       15,901       770   SH         DEFINED      4                            770
HARBIN ELECTRIC INC             COM    41145W109       38,203     1,850   SH         DEFINED      2                          1,850
HARBINGER GROUP INC             COM    41146A106       33,508     6,609   SH         SOLE         1      6,609
HARLEY DAVIDSON INC             COM    412822108    3,544,195   103,239   SH         SOLE         1    103,239
HARLEY DAVIDSON INC             COM    412822108       34,570     1,007   SH         DEFINED      4                          1,007
HARLEY DAVIDSON INC             COM    412822108      137,285     3,999   SH         DEFINED      3                          3,999
HARLEY DAVIDSON INC             COM    412822108        9,582       279   SH         DEFINED      2                            279
HARLEYSVILLE GROUP INC          COM    412824104      524,089     8,904   SH         SOLE         1      8,904
HARLEYSVILLE GROUP INC          COM    412824104        9,123       155   SH         DEFINED      3                            155
HARLEYSVILLE GROUP INC          COM    412824104        7,240       123   SH         DEFINED      2                            123
HARMAN INTERNATIONAL            COM    413086109      697,552    24,407   SH         SOLE         1     24,407
HARMONIC INC                    COM    413160102      400,943    94,118   SH         SOLE         1     94,118
HARMONIC INC                    COM    413160102       19,609     4,603   SH         DEFINED      3                          4,603
HARRIS + HARRIS GROUP INC       COM    413833104       80,383    22,643   SH         SOLE         1     22,643
HARRIS CORP                     COM    413875105    1,947,622    56,998   SH         SOLE         1     56,998
HARRIS CORP DEL                 COM    413875105       18,554       543   SH         DEFINED      3                            543
HARSCO CORP                     COM    415864107    3,432,922   177,046   SH         SOLE         1    177,046
HARSCO CORP                     COM    415864107          970        50   SH         DEFINED      4                             50
HARTE HANKS INC                 COM    416196103      307,239    36,231   SH         SOLE         1     36,231
HARTFORD FINANCIAL SVCS GR      COM    416515104    5,603,324   347,170   SH         SOLE         1    347,170
HARTFORD FINL SVCS GROUP INC    COM    416515104       16,140     1,000   SH         DEFINED      4                          1,000
HARTFORD FINL SVCS GROUP INC    COM    416515104       59,039     3,658   SH         DEFINED      3                          3,658
HARTFORD FINL SVCS GROUP INC    COM    416515708       36,594     1,900   SH         DEFINED      3                          1,900
HARTFORD FINL SVCS GROUP INC    COM    416515104      143,937     8,918   SH         DEFINED      2                          8,918
HARTFORD FINL SVCS GROUP INC    COM    416515708        7,704       400   SH         DEFINED      2                            400
HARVARD BIOSCIENCE INC          COM    416906105       70,964    16,816   SH         SOLE         1     16,816
HARVARD BIOSCIENCE INC          COM    416906105        4,220     1,000   SH         DEFINED      4                          1,000
HARVEST NATURAL RESOURCES       COM    41754V103      212,665    24,815   SH         SOLE         1     24,815
HARVEST NATURAL RESOURCES IN    COM    41754V103        8,570     1,000   SH         DEFINED      3                          1,000
HASBRO INC                      COM    418056107    2,820,145    86,481   SH         SOLE         1     86,481
HATTERAS FINANCIAL CORP         COM    41902R103    1,373,585    54,594   SH         SOLE         1     54,594






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
HATTERAS FINL CORP              COM    41902R103      432,983    17,209   SH         DEFINED      4                         17,209
HATTERAS FINL CORP              COM    41902R103      168,069     6,680   SH         DEFINED      3                          6,680
HATTERAS FINL CORP              COM    41902R103      196,316     7,803   SH         DEFINED      2                          7,803
HAUPPAUGE DIGITAL INC           COM    419131107        1,722     2,000   SH         DEFINED      2                          2,000
HAVERTY FURNITURE               COM    419596101      154,006    15,416   SH         SOLE         1     15,416
HAWAIIAN ELEC INDUSTRIES        COM    419870100      557,935    22,979   SH         DEFINED      4                         22,979
HAWAIIAN ELEC INDUSTRIES        COM    419870100      148,764     6,127   SH         DEFINED      3                          6,127
HAWAIIAN ELEC INDUSTRIES        COM    419870100       12,747       525   SH         DEFINED      2                            525
HAWAIIAN ELECTRIC INDS          COM    419870100    5,120,239   210,883   SH         SOLE         1    210,883
HAWAIIAN HOLDINGS INC           COM    419879101      154,983    36,813   SH         SOLE         1     36,813
HAWKINS INC                     COM    420261109      227,210     7,136   SH         SOLE         1      7,136
HAWKINS INC                     COM    420261109       11,144       350   SH         DEFINED      3                            350
HAYNES INTERNATIONAL INC        COM    420877201      433,892     9,986   SH         SOLE         1      9,986
HCA HOLDINGS INC                COM    40412C101       24,192     1,200   SH         DEFINED      4                          1,200
HCA HOLDINGS INC                COM    40412C101       65,621     3,255   SH         DEFINED      2                          3,255
HCC INSURANCE HOLDINGS INC      COM    404132102    6,544,856   241,954   SH         SOLE         1    241,954
HCP INC                         COM    40414L109    4,723,178   134,717   SH         SOLE         1    134,717
HCP INC                         COM    40414L109      127,057     3,624   SH         DEFINED      3                          3,624
HCP INC                         COM    40414L109       64,950     1,853   SH         DEFINED      2                          1,853
HEADWATERS INC                  COM    42210P102       71,741    49,820   SH         SOLE         1     49,820
HEALTH CARE REIT INC            COM    42217K106    2,747,254    58,702   SH         SOLE         1     58,702
HEALTH CARE REIT INC            COM    42217K106       31,824       680   SH         DEFINED      4                            680
HEALTH CARE REIT INC            COM    42217K106      121,727     2,601   SH         DEFINED      3                          2,601
HEALTH CARE REIT INC            COM    42217K106       95,957     2,050   SH         DEFINED      2                          2,050
HEALTH MGMT ASSOC INC NEW       COM    421933102        4,844       700   SH         DEFINED      3                            700
HEALTH MGMT ASSOC INC NEW       COM    421933102       15,570     2,250   SH         DEFINED      2                          2,250
HEALTH MGMT ASSOCIATES INC      COM    421933102    3,835,749   554,299   SH         SOLE         1    554,299
HEALTH NET INC                  COM    42222G108    4,648,464   196,055   SH         SOLE         1    196,055
HEALTHCARE REALTY TRUST IN      COM    421946104    1,074,305    63,757   SH         SOLE         1     63,757
HEALTHCARE SERVICES GROUP       COM    421906108      877,677    54,379   SH         SOLE         1     54,379
HEALTHCARE SVCS GRP INC         COM    421906108       30,666     1,900   SH         DEFINED      4                          1,900
HEALTHCARE SVCS GRP INC         COM    421906108        1,453        90   SH         DEFINED      3                             90
HEALTHSOUTH CORP                COM    421924309    1,037,321    69,479   SH         SOLE         1     69,479
HEALTHSOUTH CORP                COM    421924309       25,381     1,700   SH         DEFINED      4                          1,700
HEALTHSOUTH CORP                COM    421924309        2,986       200   SH         DEFINED      2                            200
HEALTHSPRING INC                COM    42224N101    2,024,223    55,519   SH         SOLE         1     55,519
HEALTHSPRING INC                COM    42224N101       47,398     1,300   SH         DEFINED      4                          1,300
HEALTHSPRING INC                COM    42224N101       61,253     1,680   SH         DEFINED      3                          1,680
HEALTHSPRING INC                COM    42224N101        1,641        45   SH         DEFINED      2                             45
HEALTHSTREAM INC                COM    42222N103      143,888    11,215   SH         SOLE         1     11,215
HEALTHWAYS INC                  COM    422245100      273,254    27,798   SH         SOLE         1     27,798
HEARTLAND EXPRESS INC           COM    422347104      571,473    42,144   SH         SOLE         1     42,144
HEARTLAND FINANCIAL USA IN      COM    42234Q102      137,901     9,725   SH         SOLE         1      9,725
HEARTLAND PAYMENT SYSTEMS       COM    42235N108      623,842    31,635   SH         SOLE         1     31,635
HEARTWARE INTERNATIONAL IN      COM    422368100      565,133     8,774   SH         SOLE         1      8,774
HECKMANN CORP                   COM    422680108      356,996    67,485   SH         SOLE         1     67,485
HECLA MINING CO                 COM    422704106    1,093,011   203,920   SH         SOLE         1    203,920
HECLA MNG CO                    COM    422704106        4,824       900   SH         DEFINED      4                            900
HECLA MNG CO                    COM    422704106      770,232   143,700   SH         DEFINED      3                        143,700
HECLA MNG CO                    COM    422704205        2,120        40   SH         DEFINED      2                             40
HEICO CORP                      COM    422806109    1,500,244    30,468   SH         SOLE         1     30,468
HEIDRICK + STRUGGLES INTL       COM    422819102      239,742    14,574   SH         SOLE         1     14,574
HEINZ H J CO                    COM    423074103      195,560     3,874   SH         DEFINED      4                          3,874
HEINZ H J CO                    COM    423074103      802,346    15,894   SH         DEFINED      3                         15,894
HEINZ H J CO                    COM    423074103      124,958     2,475   SH         DEFINED      2                          2,475
HELEN OF TROY LTD               COM    G4388N106      635,209    25,287   SH         SOLE         1     25,287
HELIOS HIGH YIELD FD            COM    42328Q109      472,266    51,111   SH         DEFINED      3                         51,111
HELIOS TOTAL RETURN FD INC      COM    42327V109       13,135     2,122   SH         DEFINED      3                          2,122
HELIX ENERGY SOLUTIONS GRO      COM    42330P107    4,022,080   307,029   SH         SOLE         1    307,029
HELIX ENERGY SOLUTIONS GRP I    COM    42330P107        1,310       100   SH         DEFINED      3                            100
HELMERICH & PAYNE INC           COM    423452101          934        23   SH         DEFINED      4                             23
HELMERICH & PAYNE INC           COM    423452101        9,541       235   SH         DEFINED      2                            235
HELMERICH + PAYNE               COM    423452101    1,804,508    44,446   SH         SOLE         1     44,446
HENRY JACK & ASSOC INC          COM    426281101       43,470     1,500   SH         DEFINED      3                          1,500
HENRY SCHEIN INC                COM    806407102   12,851,386   207,247   SH         SOLE         1    207,247
HERBALIFE LTD                   COM    G4412G101       95,569     1,783   SH         SOLE         1      1,783
HERBALIFE LTD                   COM    G4412G101       65,660     1,225   SH         DEFINED      3                          1,225
HERBALIFE LTD                   COM    G4412G101        3,752        70   SH         DEFINED      2                             70
HERCULES OFFSHORE INC           COM    427093109    2,347,391   803,901   SH         SOLE         1    803,901
HERCULES OFFSHORE INC           COM    427093109       22,407     7,700   SH         DEFINED      3                          7,700
HERCULES TECH GROWTH CAP INC    COM    427096508        4,217       495   SH         DEFINED      4                            495
HERCULES TECH GROWTH CAP INC    COM    427096508      932,369   109,433   SH         DEFINED      3                        109,433
HERCULES TECH GROWTH CAP INC    COM    427096508       79,198     9,295   SH         DEFINED      2                          9,295
HERCULES TECHNOLOGY GROWTH      COM    427096508      272,555    31,990   SH         SOLE         1     31,990
HERITAGE COMMERCE CORP          COM    426927109       58,643    15,232   SH         SOLE         1     15,232
HERITAGE CRYSTAL CLEAN INC      COM    42726M106       62,797     3,458   SH         SOLE         1      3,458
HERITAGE FINANCIAL CORP         COM    42722X106      126,187    11,430   SH         SOLE         1     11,430
HERMAN MILLER INC               COM    600544100    2,997,694   167,844   SH         SOLE         1    167,844
HERSHA HOSPITALITY TRUST        COM    427825104      355,723   102,810   SH         SOLE         1    102,810
HERSHEY CO                      COM    427866108      126,547     2,136   SH         DEFINED      4                          2,136
HERSHEY CO                      COM    427866108       61,195     1,033   SH         DEFINED      3                          1,033






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
HERSHEY CO                      COM    427866108       36,650       619   SH         DEFINED      2                            619
HERSHEY CO/THE                  COM    427866108    5,039,251    85,065   SH         SOLE         1     85,065
HERTZ GLOBAL HOLDINGS INC       COM    42805T105       30,305     3,405   SH         SOLE         1      3,405
HESS CORP                       COM    42809H107    8,745,764   166,713   SH         SOLE         1    166,713
HESS CORP                       COM    42809H107      133,511     2,545   SH         DEFINED      4                          2,545
HESS CORP                       COM    42809H107       21,981       419   SH         DEFINED      3                            419
HESS CORP                       COM    42809H107       41,968       800   SH         DEFINED      2                            800
HEWLETT PACKARD CO              COM    428236103   20,015,522   891,560   SH         SOLE         1    891,560
HEWLETT PACKARD CO              COM    428236103      146,082     6,507   SH         DEFINED      4                          6,507
HEWLETT PACKARD CO              COM    428236103      338,987    15,100   SH         DEFINED      3                         15,100
HEWLETT PACKARD CO              COM    428236103      199,855     8,902   SH         DEFINED      2                          8,902
HEXCEL CORP                     COM    428291108    8,667,729   391,143   SH         SOLE         1    391,143
HEXCEL CORP NEW                 COM    428291108        6,648       300   SH         DEFINED      4                            300
HEXCEL CORP NEW                 COM    428291108        2,216       100   SH         DEFINED      3                            100
HEXCEL CORP NEW                 COM    428291108        2,216       100   SH         DEFINED      2                            100
HFF INC CLASS A                 COM    40418F108      185,314    21,203   SH         SOLE         1     21,203
HHGREGG INC                     COM    42833L108      128,720    13,202   SH         SOLE         1     13,202
HI TECH PHARMACAL CO INC        COM    42840B101      284,760     8,475   SH         SOLE         1      8,475
HIBBETT SPORTS INC              COM    428567101      759,000    22,396   SH         SOLE         1     22,396
HIBBETT SPORTS INC              COM    428567101       77,123     2,275   SH         DEFINED      3                          2,275
HICKORYTECH CORP                COM    429060106       93,862     9,757   SH         SOLE         1      9,757
HIGHER ONE HOLDINGS INC         COM    42983D104      363,635    22,350   SH         SOLE         1     22,350
HIGHLAND CR STRATEGIES FD       COM    43005Q107       26,518     4,277   SH         DEFINED      4                          4,277
HIGHLAND CR STRATEGIES FD       COM    43005Q107       13,950     2,250   SH         DEFINED      3                          2,250
HIGHLAND CR STRATEGIES FD       COM    43005Q107          310        50   SH         DEFINED      2                             50
HIGHWOODS PPTYS INC             COM    431284108        4,239       150   SH         DEFINED      3                            150
HIGHWOODS PROPERTIES INC        COM    431284108    5,922,674   209,578   SH         SOLE         1    209,578
HILL INTERNATIONAL INC          COM    431466101       85,672    18,306   SH         SOLE         1     18,306
HILL ROM HOLDINGS INC           COM    431475102    4,138,497   137,858   SH         SOLE         1    137,858
HILLENBRAND INC                 COM    431571108      944,987    51,358   SH         SOLE         1     51,358
HILLTOP HOLDINGS INC            COM    432748101      209,753    29,092   SH         SOLE         1     29,092
HILLTOP HOLDINGS INC            COM    432748101        3,605       500   SH         DEFINED      2                            500
HIMAX TECHNOLOGIES INC          COM    43289P106        1,110     1,000   SH         DEFINED      2                          1,000
HITTITE MICROWAVE CORP          COM    43365Y104    1,235,324    25,366   SH         SOLE         1     25,366
HJ HEINZ CO                     COM    423074103    7,337,672   145,358   SH         SOLE         1    145,358
HMS HLDGS CORP                  COM    40425J101       39,804     1,632   SH         DEFINED      3                          1,632
HMS HOLDINGS CORP               COM    40425J101    1,693,690    69,442   SH         SOLE         1     69,442
HNI CORP                        COM    404251100    2,482,519   129,771   SH         SOLE         1    129,771
HOLLY ENERGY PARTNERS L P       COM    435763107       12,298       250   SH         DEFINED      4                            250
HOLLY ENERGY PARTNERS L P       COM    435763107       14,068       286   SH         DEFINED      3                            286
HOLLY ENERGY PARTNERS L P       COM    435763107        3,935        80   SH         DEFINED      2                             80
HOLLYFRONTIER CORP              COM    436106108   12,014,240   458,209   SH         SOLE         1    458,209
HOLLYFRONTIER CORP              COM    436106108        5,034       192   SH         DEFINED      4                            192
HOLLYFRONTIER CORP              COM    436106108       80,758     3,080   SH         DEFINED      3                          3,080
HOLOGIC INC                     COM    436440101   12,613,136   829,266   SH         SOLE         1    829,266
HOLOGIC INC                     COM    436440101       12,442       818   SH         DEFINED      3                            818
HOME BANCSHARES INC             COM    436893200      389,960    18,377   SH         SOLE         1     18,377
HOME DEPOT INC                  COM    437076102   17,488,779   532,059   SH         SOLE         1    532,059
HOME DEPOT INC                  COM    437076102      230,024     6,998   SH         DEFINED      4                          6,998
HOME DEPOT INC                  COM    437076102      494,321    15,039   SH         DEFINED      3                         15,039
HOME DEPOT INC                  COM    437076102      230,232     7,004   SH         DEFINED      2                          7,004
HOME FEDERAL BANCORP INC/M      COM    43710G105       94,599    12,097   SH         SOLE         1     12,097
HOME PROPERTIES INC             COM    437306103    6,675,487   117,609   SH         SOLE         1    117,609
HONDA MOTOR LTD                 COM    438128308       24,049       825   SH         DEFINED      4                            825
HONDA MOTOR LTD                 COM    438128308       17,490       600   SH         DEFINED      2                            600
HONEYWELL INTERNATIONAL IN      COM    438516106   12,621,403   287,438   SH         SOLE         1    287,438
HONEYWELL INTL INC              COM    438516106      728,260    16,585   SH         DEFINED      4                         16,585
HONEYWELL INTL INC              COM    438516106      761,504    17,342   SH         DEFINED      3                         17,342
HONEYWELL INTL INC              COM    438516106      108,032     2,460   SH         DEFINED      2                          2,460
HORACE MANN EDUCATORS           COM    440327104      372,833    32,676   SH         SOLE         1     32,676
HORMEL FOODS CORP               COM    440452100    1,402,959    51,923   SH         SOLE         1     51,923
HORMEL FOODS CORP               COM    440452100        2,702       100   SH         DEFINED      3                            100
HORNBECK OFFSHORE SERVICES      COM    440543106      467,959    18,786   SH         SOLE         1     18,786
HORSEHEAD HLDG CORP             COM    440694305        8,162     1,100   SH         DEFINED      2                          1,100
HORSEHEAD HOLDING CORP          COM    440694305      236,705    31,901   SH         SOLE         1     31,901
HOSPIRA INC                     COM    441060100    1,933,879    52,267   SH         SOLE         1     52,267
HOSPIRA INC                     COM    441060100       50,209     1,357   SH         DEFINED      4                          1,357
HOSPIRA INC                     COM    441060100           37         1   SH         DEFINED      3                              1
HOSPITALITY PPTYS TR            COM    44106M102       40,422     1,904   SH         DEFINED      4                          1,904
HOSPITALITY PPTYS TR            COM    44106M102       10,254       483   SH         DEFINED      3                            483
HOSPITALITY PPTYS TR            COM    44106M102       10,615       500   SH         DEFINED      2                            500
HOSPITALITY PROPERTIES TRU      COM    44106M102    5,764,136   271,509   SH         SOLE         1    271,509
HOST HOTELS + RESORTS INC       COM    44107P104    3,689,745   337,271   SH         SOLE         1    337,271
HOT TOPIC INC                   COM    441339108      279,807    36,672   SH         SOLE         1     36,672
HOUSTON AMERICAN ENERGY CO      COM    44183U100      166,069    12,069   SH         SOLE         1     12,069
HOUSTON WIRE + CABLE CO         COM    44244K109      149,071    12,974   SH         SOLE         1     12,974
HOVNANIAN ENTERPRISES A         COM    442487203       54,579    44,737   SH         SOLE         1     44,737
HOVNANIAN ENTERPRISES INC       COM    442487203          854       700   SH         DEFINED      4                            700
HOVNANIAN ENTERPRISES INC       COM    442487203        1,769     1,450   SH         DEFINED      3                          1,450
HOWARD HUGHES CORP              COM    44267D107        5,768       137   SH         DEFINED      3                            137
HOWARD HUGHES CORP/THE          COM    44267D107       25,134       597   SH         SOLE         1        597






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
HSBC HLDGS PLC                  COM    404280406        7,532       198   SH         DEFINED      4                            198
HSBC HLDGS PLC                  COM    404280604    1,355,379    59,525   SH         DEFINED      4                         59,525
HSBC HLDGS PLC                  COM    404280406        9,966       262   SH         DEFINED      3                            262
HSBC HLDGS PLC                  COM    404280604       29,601     1,300   SH         DEFINED      3                          1,300
HSBC HLDGS PLC                  COM    404280406       64,258     1,689   SH         DEFINED      2                          1,689
HSBC USA INC                    COM    4042EP602       10,215     1,362   SH         DEFINED      3                          1,362
HSBC USA INC                    COM    4042EP602        3,750       500   SH         DEFINED      2                            500
HSN INC                         COM    404303109    1,084,842    32,745   SH         SOLE         1     32,745
HSN INC                         COM    404303109          265         8   SH         DEFINED      4                              8
HUANENG PWR INTL INC            COM    443304100        3,366       200   SH         DEFINED      4                            200
HUANENG PWR INTL INC            COM    443304100        5,049       300   SH         DEFINED      2                            300
HUB GROUP INC CL A              COM    443320106      854,178    30,215   SH         SOLE         1     30,215
HUBBELL INC  CL B               COM    443510201    6,528,431   131,781   SH         SOLE         1    131,781
HUDSON CITY BANCORP             COM    443683107       33,960     6,000   SH         DEFINED      4                          6,000
HUDSON CITY BANCORP             COM    443683107       62,904    11,114   SH         DEFINED      3                         11,114
HUDSON CITY BANCORP             COM    443683107        5,094       900   SH         DEFINED      2                            900
HUDSON CITY BANCORP INC         COM    443683107    1,230,184   217,347   SH         SOLE         1    217,347
HUDSON HIGHLAND GROUP INC       COM    443792106       81,895    23,946   SH         SOLE         1     23,946
HUDSON PACIFIC PROPERTIES       COM    444097109      187,313    16,106   SH         SOLE         1     16,106
HUDSON VALLEY HOLDING CORP      COM    444172100      180,592    10,361   SH         SOLE         1     10,361
HUDSON VALLEY HOLDING CORP      COM    444172100       30,328     1,740   SH         DEFINED      2                          1,740
HUGOTON RTY TR TEX              COM    444717102      501,021    23,542   SH         DEFINED      3                         23,542
HUGOTON RTY TR TEX              COM    444717102        6,385       300   SH         DEFINED      2                            300
HUMAN GENOME SCIENCES INC       COM    444903108       40,062     3,157   SH         SOLE         1      3,157
HUMAN GENOME SCIENCES INC       COM    444903108        7,728       609   SH         DEFINED      3                            609
HUMANA INC                      COM    444859102    5,273,652    72,510   SH         SOLE         1     72,510
HUMANA INC                      COM    444859102        7,273       100   SH         DEFINED      4                            100
HUMANA INC                      COM    444859102       21,819       300   SH         DEFINED      3                            300
HUMANA INC                      COM    444859102        1,527        21   SH         DEFINED      2                             21
HUNT (JB) TRANSPRT SVCS IN      COM    445658107   11,124,382   307,984   SH         SOLE         1    307,984
HUNT J B TRANS SVCS INC         COM    445658107          289         8   SH         DEFINED      3                              8
HUNTINGTON BANCSHARES INC       COM    446150104    1,377,298   286,937   SH         SOLE         1    286,937
HUNTINGTON BANCSHARES INC       COM    446150104        9,120     1,900   SH         DEFINED      4                          1,900
HUNTINGTON BANCSHARES INC       COM    446150104      168,168    35,035   SH         DEFINED      3                         35,035
HUNTINGTON BANCSHARES INC       COM    446150401      390,885       372   SH         DEFINED      3                            372
HUNTINGTON INGALLS INDS INC     COM    446413106           97         4   SH         DEFINED      4                              4
HUNTINGTON INGALLS INDS INC     COM    446413106          973        40   SH         DEFINED      3                             40
HUNTINGTON INGALLS INDUSTR      COM    446413106    2,677,079   110,032   SH         SOLE         1    110,032
HUNTSMAN CORP                   COM    447011107       55,322     5,721   SH         SOLE         1      5,721
HURCO COMPANIES INC             COM    447324104       95,491     4,704   SH         SOLE         1      4,704
HURON CONSULTING GROUP INC      COM    447462102      504,742    16,214   SH         SOLE         1     16,214
HUTCHINSON TECHNOLOGY INC       COM    448407106        5,586     2,850   SH         DEFINED      3                          2,850
HYATT HOTELS CORP   CL A        COM    448579102       37,550     1,197   SH         SOLE         1      1,197
HYPERDYNAMICS CORP              COM    448954107      420,394   113,620   SH         SOLE         1    113,620
HYPERDYNAMICS CORP              COM    448954107      114,700    31,000   SH         DEFINED      3                         31,000
IAC INTERACTIVECORP             COM    44919P508          831        21   SH         DEFINED      4                             21
IAC INTERACTIVECORP             COM    44919P508        3,560        90   SH         DEFINED      2                             90
IAC/INTERACTIVECORP             COM    44919P508    7,895,604   199,636   SH         SOLE         1    199,636
IAMGOLD CORP                    COM    450913108      257,140    13,000   SH         DEFINED      3                         13,000
IAMGOLD CORP                    COM    450913108       17,347       877   SH         DEFINED      2                            877
IBERIABANK CORP                 COM    450828108    1,015,225    21,573   SH         SOLE         1     21,573
IBERIABANK CORP                 COM    450828108        1,224        26   SH         DEFINED      2                             26
IBIO INC                        COM    451033104          800       500   SH         DEFINED      3                            500
ICF INTERNATIONAL INC           COM    44925C103      270,149    14,362   SH         SOLE         1     14,362
ICG GROUP INC                   COM    44928D108      249,462    27,086   SH         SOLE         1     27,086
ICICI BK LTD                    COM    45104G104        3,472       100   SH         DEFINED      2                            100
ICON PUB LTD CO                 COM    45103T107       32,160     2,000   SH         DEFINED      4                          2,000
ICONIX BRAND GROUP INC          COM    451055107      944,429    59,774   SH         SOLE         1     59,774
ICONIX BRAND GROUP INC          COM    451055107          126         8   SH         DEFINED      3                              8
ICU MEDICAL INC                 COM    44930G107      366,712     9,965   SH         SOLE         1      9,965
IDACORP INC                     COM    451107106    5,440,282   143,999   SH         SOLE         1    143,999
IDACORP INC                     COM    451107106       18,588       492   SH         DEFINED      3                            492
IDENIX PHARMACEUTICALS INC      COM    45166R204      199,775    40,035   SH         SOLE         1     40,035
IDENTIVE GROUP INC              COM    45170X106       56,241    28,262   SH         SOLE         1     28,262
IDEX CORP                       COM    45167R104    5,651,645   181,375   SH         SOLE         1    181,375
IDEXX LABORATORIES INC          COM    45168D104    8,558,763   124,094   SH         SOLE         1    124,094
IDEXX LABS INC                  COM    45168D104        3,449        50   SH         DEFINED      2                             50
IDT CORP CLASS B                COM    448947507      206,999    10,147   SH         SOLE         1     10,147
IGATE CORP                      COM    45169U105      291,466    25,257   SH         SOLE         1     25,257
IGATE CORP                      COM    45169U105       19,618     1,700   SH         DEFINED      3                          1,700
IHS INC                         COM    451734107        4,264        57   SH         DEFINED      2                             57
IHS INC CLASS A                 COM    451734107       58,202       778   SH         SOLE         1        778
II VI INC                       COM    902104108      746,165    42,638   SH         SOLE         1     42,638
II VI INC                       COM    902104108      388,500    22,200   SH         DEFINED      3                         22,200
ILLINOIS TOOL WKS INC           COM    452308109      583,731    14,032   SH         DEFINED      4                         14,032
ILLINOIS TOOL WKS INC           COM    452308109      240,448     5,780   SH         DEFINED      3                          5,780
ILLINOIS TOOL WKS INC           COM    452308109      271,773     6,533   SH         DEFINED      2                          6,533
ILLINOIS TOOL WORKS             COM    452308109    6,150,810   147,856   SH         SOLE         1    147,856
ILLUMINA INC                    COM    452327109      340,209     8,314   SH         SOLE         1      8,314
ILLUMINA INC                    COM    452327109        1,841        45   SH         DEFINED      3                             45
ILLUMINA INC                    COM    452327109       16,368       400   SH         DEFINED      2                            400






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
IMATION CORP                    COM    45245A107      160,389    21,941   SH         SOLE         1     21,941
IMATION CORP                    COM    45245A107           80        11   SH         DEFINED      3                             11
IMAX CORP                       COM    45245E109        2,172       150   SH         DEFINED      4                            150
IMMERSION CORPORATION           COM    452521107      124,599    20,836   SH         SOLE         1     20,836
IMMUNOGEN INC                   COM    45253H101      601,342    54,867   SH         SOLE         1     54,867
IMMUNOGEN INC                   COM    45253H101        3,288       300   SH         DEFINED      2                            300
IMMUNOMEDICS INC                COM    452907108      153,706    48,033   SH         SOLE         1     48,033
IMPAX LABORATORIES INC          COM    45256B101      853,967    47,681   SH         SOLE         1     47,681
IMPERIAL HOLDINGS INC           COM    452834104       30,847    12,853   SH         SOLE         1     12,853
IMPERIAL OIL LTD                COM    453038408        7,222       200   SH         DEFINED      3                            200
IMPERIAL SUGAR CO               COM    453096208       57,599     8,944   SH         SOLE         1      8,944
INCONTACT INC                   COM    45336E109       77,328    22,414   SH         SOLE         1     22,414
INCYTE CORP                     COM    45337C102    7,589,552   543,275   SH         SOLE         1    543,275
INCYTE CORP                     COM    45337C102        1,397       100   SH         DEFINED      3                            100
INDEPENDENCE HOLDING CO         COM    453440307       38,983     5,377   SH         SOLE         1      5,377
INDEPENDENT BANK CORP MASS      COM    453836108        4,348       200   SH         DEFINED      3                            200
INDEPENDENT BANK CORP MICH      COM    453838609          173        90   SH         DEFINED      3                             90
INDEPENDENT BANK CORP/MA        COM    453836108      381,776    17,561   SH         SOLE         1     17,561
INDEXIQ ETF TR                  COM    45409B107       79,608     2,955   SH         DEFINED      3                          2,955
INDEXIQ ETF TR                  COM    45409B628        1,589       100   SH         DEFINED      3                            100
INDUSTRIAS BACHOCO S A B DE     COM    456463108       15,572       693   SH         DEFINED      4                            693
INERGY L P                      COM    456615103       41,501     1,659   SH         DEFINED      4                          1,659
INERGY L P                      COM    456615103       60,737     2,428   SH         DEFINED      3                          2,428
INERGY L P                      COM    456615103       58,003     2,318   SH         DEFINED      2                          2,318
INFINERA CORP                   COM    45667G103      589,476    76,357   SH         SOLE         1     76,357
INFINERA CORPORATION            COM    45667G103        1,544       200   SH         DEFINED      4                            200
INFINITY PHARMACEUTICALS I      COM    45665G303       98,418    13,960   SH         SOLE         1     13,960
INFINITY PROPERTY + CASUAL      COM    45665Q103      532,305    10,143   SH         SOLE         1     10,143
INFORMATICA CORP                COM    45666Q102    9,534,798   232,840   SH         SOLE         1    232,840
INFORMATICA CORP                COM    45666Q102       47,993     1,172   SH         DEFINED      3                          1,172
INFORMATION SERVICES GROUP I    COM    45675Y104          530       500   SH         DEFINED      2                            500
INFOSONICS CORP                 COM    456784107          495       900   SH         DEFINED      3                            900
INFOSPACE INC                   COM    45678T300      254,462    30,438   SH         SOLE         1     30,438
INFOSYS LTD                     COM    456788108          664        13   SH         DEFINED      3                             13
INFOSYS LTD SP ADR              COM    456788108      222,818     4,363   SH         SOLE         1      4,363
ING GLBL ADV & PREM OPP FUND    COM    44982N109      171,476    15,660   SH         DEFINED      4                         15,660
ING GLOBAL EQTY DIV & PREM O    COM    45684E107       13,436     1,451   SH         DEFINED      4                          1,451
ING GLOBAL EQTY DIV & PREM O    COM    45684E107      114,627    12,379   SH         DEFINED      3                         12,379
ING GLOBAL EQTY DIV & PREM O    COM    45684E107       16,668     1,800   SH         DEFINED      2                          1,800
ING GROEP N V                   COM    456837103        3,772       535   SH         DEFINED      4                            535
ING GROEP N V                   COM    456837103        1,481       210   SH         DEFINED      3                            210
ING INTL HIGH DIVD EQTY INC     COM    45684Q100       54,240     6,000   SH         DEFINED      3                          6,000
ING PRIME RATE TR               COM    44977W106       14,448     2,822   SH         DEFINED      4                          2,822
ING PRIME RATE TR               COM    44977W106        5,120     1,000   SH         DEFINED      2                          1,000
ING RISK MANAGED NAT RES FD     COM    449810100       18,705     1,500   SH         DEFINED      3                          1,500
INGERSOLL RAND PLC              COM    G47791101    4,258,641   151,607   SH         SOLE         1    151,607
INGERSOLL-RAND PLC              COM    G47791101        2,191        78   SH         DEFINED      4                             78
INGERSOLL-RAND PLC              COM    G47791101       20,618       734   SH         DEFINED      3                            734
INGERSOLL-RAND PLC              COM    G47791101        4,214       150   SH         DEFINED      2                            150
INGLES MARKETS INC CLASS A      COM    457030104      131,036     9,202   SH         SOLE         1      9,202
INGRAM MICRO INC CL A           COM    457153104    5,587,497   346,404   SH         SOLE         1    346,404
INHIBITEX INC                   COM    45719T103      114,220    46,431   SH         SOLE         1     46,431
INLAND REAL ESTATE CORP         COM    457461200      461,251    63,185   SH         SOLE         1     63,185
INLAND REAL ESTATE CORP         COM    457461200        7,300     1,000   SH         DEFINED      4                          1,000
INLAND REAL ESTATE CORP         COM    457461200      187,768    25,722   SH         DEFINED      3                         25,722
INLAND REAL ESTATE CORP         COM    457461200        9,833     1,347   SH         DEFINED      2                          1,347
INNERWORKINGS INC               COM    45773Y105      147,619    18,829   SH         SOLE         1     18,829
INNOPHOS HOLDINGS INC           COM    45774N108      631,979    15,851   SH         SOLE         1     15,851
INNOSPEC INC                    COM    45768S105      419,172    17,314   SH         SOLE         1     17,314
INNOSPEC INC                    COM    45768S105       12,105       500   SH         DEFINED      2                            500
INOVIO PHARMACEUTICALS INC      COM    45773H102          565     1,000   SH         DEFINED      4                          1,000
INPHI CORP                      COM    45772F107      131,427    14,986   SH         SOLE         1     14,986
INSIGHT ENTERPRISES INC         COM    45765U103      577,485    38,143   SH         SOLE         1     38,143
INSITUFORM TECHNOLOGIES CL      COM    457667103      374,590    32,348   SH         SOLE         1     32,348
INSITUFORM TECHNOLOGIES INC     COM    457667103      115,800    10,000   SH         DEFINED      4                         10,000
INSMED INC                      COM    457669307       92,483    18,134   SH         SOLE         1     18,134
INSMED INC                      COM    457669307           51        10   SH         DEFINED      3                             10
INSPERITY INC                   COM    45778Q107      417,811    18,778   SH         SOLE         1     18,778
INSTEEL INDUSTRIES INC          COM    45774W108      129,551    12,865   SH         SOLE         1     12,865
INSTITUTIONAL FINL MKTS INC     COM    45779L107        1,995     1,050   SH         DEFINED      3                          1,050
INSULET CORP                    COM    45784P101    5,496,881   360,215   SH         SOLE         1    360,215
INSULET CORP                    COM    45784P101       13,734       900   SH         DEFINED      3                            900
INTEGRA LIFESCIENCES HLDGS C    COM    457985208      484,684    13,550   SH         DEFINED      2                         13,550
INTEGRA LIFESCIENCES HOLDI      COM    457985208      609,378    17,036   SH         SOLE         1     17,036
INTEGRATED DEVICE TECH INC      COM    458118106    2,188,868   425,023   SH         SOLE         1    425,023
INTEGRATED SILICON SOLUTIO      COM    45812P107      152,686    19,550   SH         SOLE         1     19,550
INTEGRYS ENERGY GROUP INC       COM    45822P105    6,117,417   125,821   SH         SOLE         1    125,821
INTEGRYS ENERGY GROUP INC       COM    45822P105      200,898     4,132   SH         DEFINED      3                          4,132
INTEGRYS ENERGY GROUP INC       COM    45822P105        3,209        66   SH         DEFINED      2                             66
INTEL CORP                      COM    458140100   94,188,545 4,415,778   SH         SOLE         1  4,415,778
INTEL CORP                      COM    458140100      361,682    16,953   SH         DEFINED      4                         16,953






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
INTEL CORP                      COM    458140900        3,050        50   SH  C      DEFINED      4                             50
INTEL CORP                      CNV    458140AD2        4,055         4   PRN        DEFINED      3                              4
INTEL CORP                      COM    458140100    2,648,275   124,128   SH         DEFINED      3                        124,128
INTEL CORP                      COM    458140100      823,127    38,581   SH         DEFINED      2                         38,581
INTER PARFUMS INC               COM    458334109      203,878    13,196   SH         SOLE         1     13,196
INTERACTIVE BROKERS GRO CL      COM    45841N107    2,726,867   195,755   SH         SOLE         1    195,755
INTERACTIVE INTELLIGENCE G      COM    45841V109      317,003    11,676   SH         SOLE         1     11,676
INTERCLICK INC                  COM    458483203       83,100    14,973   SH         SOLE         1     14,973
INTERCONTINENTAL HTLS GRP PL    COM    45857P301          772        48   SH         DEFINED      3                             48
INTERCONTINENTALEXCHANGE I      COM    45865V100    2,735,945    23,135   SH         SOLE         1     23,135
INTERCONTINENTALEXCHANGE INC    COM    45865V100        9,106        77   SH         DEFINED      3                             77
INTERCONTINENTALEXCHANGE INC    COM    45865V100        1,183        10   SH         DEFINED      2                             10
INTERDIGITAL INC                COM    45867G101    1,543,102    33,128   SH         SOLE         1     33,128
INTERDIGITAL INC                COM    45867G101        9,316       200   SH         DEFINED      4                            200
INTERDIGITAL INC                COM    45867G101      235,229     5,050   SH         DEFINED      3                          5,050
INTERDIGITAL INC                COM    45867G101       18,657       401   SH         DEFINED      2                            401
INTERFACE INC CLASS A           COM    458665106      517,001    43,592   SH         SOLE         1     43,592
INTERLINE BRANDS INC            COM    458743101      313,552    24,363   SH         SOLE         1     24,363
INTERMEC INC                    COM    458786100      312,478    47,926   SH         SOLE         1     47,926
INTERMUNE INC                   COM    45884X103      722,150    35,750   SH         SOLE         1     35,750
INTERNAP NETWORK SERVICES       COM    45885A300      187,801    38,171   SH         SOLE         1     38,171
INTERNAP NETWORK SVCS CORP      COM    45885A300          494       100   SH         DEFINED      3                            100
INTERNATIONAL BANCSHARES C      COM    459044103    2,029,255   154,316   SH         SOLE         1    154,316
INTERNATIONAL BUSINESS MACHS    COM    459200101      641,307     3,667   SH         DEFINED      4                          3,667
INTERNATIONAL BUSINESS MACHS    COM    459200101      869,540     4,972   SH         DEFINED      3                          4,972
INTERNATIONAL BUSINESS MACHS    COM    459200101    1,588,274     9,083   SH         DEFINED      2                          9,083
INTERNATIONAL FLAVORS&FRAGRA    COM    459506101       28,110       500   SH         DEFINED      4                            500
INTERNATIONAL GAME TECHNOLOG    COM    459902102        6,539       450   SH         DEFINED      3                            450
INTERNATIONAL GAME TECHNOLOG    COM    459902102        6,815       469   SH         DEFINED      2                            469
INTERNATIONAL PAPER CO          COM    460146103    3,342,211   143,751   SH         SOLE         1    143,751
INTERNATIONAL SHIPHOLDING CO    COM    460321201       93,911     5,079   SH         DEFINED      4                          5,079
INTERNATIONAL SHIPHOLDING CO    COM    460321201      130,225     7,043   SH         DEFINED      3                          7,043
INTERNATIONAL SPEEDWAY CORP     COM    460335201       57,100     2,500   SH         DEFINED      4                          2,500
INTERNATIONAL TOWER HILL MIN    COM    46050R102        5,030     1,000   SH         DEFINED      2                          1,000
INTERNET ARCHITECTURE HOLDR     COM    46060A107        5,455       100   SH         DEFINED      2                            100
INTEROIL CORP                   COM    460951106    1,481,925    30,386   SH         DEFINED      3                         30,386
INTERPUBLIC GROUP OF COS I      COM    460690100    7,416,799 1,030,111   SH         SOLE         1  1,030,111
INTERSECTIONS INC               COM    460981301       86,262     6,713   SH         SOLE         1      6,713
INTERSIL CORP A                 COM    46069S109    2,834,401   275,452   SH         SOLE         1    275,452
INTERVAL LEISURE GROUP          COM    46113M108      439,707    33,011   SH         SOLE         1     33,011
INTERVAL LEISURE GROUP INC      COM    46113M108          107         8   SH         DEFINED      4                              8
INTERVAL LEISURE GROUP INC      COM    46113M108        2,384       179   SH         DEFINED      2                            179
INTEVAC INC                     COM    461148108      130,804    18,713   SH         SOLE         1     18,713
INTL BUSINESS MACHINES COR      COM    459200101   77,254,391   441,378   SH         SOLE         1    441,378
INTL FCSTONE INC                COM    46116V105      201,247     9,694   SH         SOLE         1      9,694
INTL FCSTONE INC                COM    46116V105      408,910    19,697   SH         DEFINED      4                         19,697
INTL FLAVORS + FRAGRANCES       COM    459506101    1,999,802    35,571   SH         SOLE         1     35,571
INTL GAME TECHNOLOGY            COM    459902102    1,395,883    96,069   SH         SOLE         1     96,069
INTL PAPER CO                   COM    460146103       51,150     2,200   SH         DEFINED      4                          2,200
INTL PAPER CO                   COM    460146103       49,197     2,116   SH         DEFINED      3                          2,116
INTL PAPER CO                   COM    460146103       36,038     1,550   SH         DEFINED      2                          1,550
INTL RECTIFIER CORP             COM    460254105    2,862,602   153,738   SH         SOLE         1    153,738
INTL SHIPHOLDING CORP           COM    460321201       73,313     3,965   SH         SOLE         1      3,965
INTL SPEEDWAY CORP CL A         COM    460335201    1,902,755    83,308   SH         SOLE         1     83,308
INTRALINKS HOLDINGS INC         COM    46118H104      175,298    23,342   SH         SOLE         1     23,342
INTREPID POTASH INC             COM    46121Y102    2,855,325   114,810   SH         SOLE         1    114,810
INTREPID POTASH INC             COM    46121Y102       74,610     3,000   SH         DEFINED      2                          3,000
INTUIT                          COM    461202103       45,068       950   SH         DEFINED      3                            950
INTUIT INC                      COM    461202103    5,531,267   116,595   SH         SOLE         1    116,595
INTUITIVE SURGICAL INC          COM    46120E602    5,482,778    15,051   SH         SOLE         1     15,051
INTUITIVE SURGICAL INC          COM    46120E602       72,856       200   SH         DEFINED      3                            200
INTUITIVE SURGICAL INC          COM    46120E602      230,589       633   SH         DEFINED      2                            633
INVACARE CORP                   COM    461203101      547,845    23,778   SH         SOLE         1     23,778
INVESCO HIGH YIELD INVST FD     COM    46133K108       13,975     2,500   SH         DEFINED      3                          2,500
INVESCO INSRD MUNI INCM TRST    COM    46132P108       26,299     1,700   SH         DEFINED      2                          1,700
INVESCO LTD                     COM    G491BT108    3,177,720   204,882   SH         SOLE         1    204,882
INVESCO LTD                     COM    G491BT108        3,536       228   SH         DEFINED      3                            228
INVESCO MORTGAGE CAPITAL        COM    46131B100    1,190,820    84,276   SH         SOLE         1     84,276
INVESCO MORTGAGE CAPITAL INC    COM    46131B100       71,893     5,088   SH         DEFINED      4                          5,088
INVESCO MORTGAGE CAPITAL INC    COM    46131B100        1,060        75   SH         DEFINED      3                             75
INVESCO MORTGAGE CAPITAL INC    COM    46131B100       60,307     4,268   SH         DEFINED      2                          4,268
INVESCO MUNI INC OPP TRS III    COM    46133C106           30         4   SH         DEFINED      3                              4
INVESCO QUALITY MUN INVT TR     COM    46133H105       19,032     1,444   SH         DEFINED      3                          1,444
INVESCO QUALITY MUN SECS        COM    46133J101        4,766       334   SH         DEFINED      4                            334
INVESCO QUALITY MUNI INC TRS    COM    46133G107        8,981       700   SH         DEFINED      4                            700
INVESCO QUALITY MUNI INC TRS    COM    46133G107       69,474     5,415   SH         DEFINED      3                          5,415
INVESCO VAN KAMP DYN CRDT OP    COM    46132R104       22,898     2,150   SH         DEFINED      3                          2,150
INVESCO VAN KAMP DYN CRDT OP    COM    46132R104        1,065       100   SH         DEFINED      2                            100
INVESCO VAN KAMPEN ADVANTAGE    COM    46132E103       97,155     7,996   SH         DEFINED      4                          7,996
INVESCO VAN KAMPEN ADVANTAGE    COM    46132E103       37,774     3,109   SH         DEFINED      3                          3,109
INVESCO VAN KAMPEN MUNI OPP     COM    46132C107        7,741       563   SH         DEFINED      3                            563






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
INVESCO VAN KAMPEN MUNI TRST    COM    46131J103        2,708       200   SH         DEFINED      2                            200
INVESCO VAN KAMPEN OHIO QUAL    COM    46131K100       11,272       756   SH         DEFINED      2                            756
INVESCO VAN KAMPEN PA VALUE     COM    46132K109       23,137     1,700   SH         DEFINED      3                          1,700
INVESCO VAN KAMPEN SR INC TR    COM    46131H107       18,990     4,500   SH         DEFINED      4                          4,500
INVESCO VAN KAMPEN SR INC TR    COM    46131H107       21,801     5,166   SH         DEFINED      3                          5,166
INVESCO VAN KAMPEN SR INC TR    COM    46131H107       82,248    19,490   SH         DEFINED      2                         19,490
INVESCO VAN KAMPEN TR INVT G    COM    46131R105          791        50   SH         DEFINED      4                             50
INVESCO VAN KAMPEN TR INVT G    COM    46131M106        6,562       456   SH         DEFINED      2                            456
INVESTMENT TECHNOLOGY GROU      COM    46145F105      330,628    33,772   SH         SOLE         1     33,772
INVESTORS BANCORP INC           COM    46146P102      426,970    33,806   SH         SOLE         1     33,806
INVESTORS REAL ESTATE TRUS      COM    461730103      422,129    58,629   SH         SOLE         1     58,629
ION GEOPHYSICAL CORP            COM    462044108      507,293   107,250   SH         SOLE         1    107,250
ION GEOPHYSICAL CORP            COM    462044108       44,935     9,500   SH         DEFINED      4                          9,500
ION GEOPHYSICAL CORP            COM    462044108        2,365       500   SH         DEFINED      2                            500
IPC THE HOSPITALIST CO          COM    44984A105      478,781    13,415   SH         SOLE         1     13,415
IPG PHOTONICS CORP              COM    44980X109       16,290       375   SH         SOLE         1        375
IRELAND BK                      COM    46267Q103           15        15   SH         DEFINED      4                             15
IRELAND BK                      COM    46267Q103          103       100   SH         DEFINED      3                            100
IRELAND BK                      COM    46267Q103       34,997    33,978   SH         DEFINED      2                         33,978
IRIDIUM COMMUNICATIONS INC      COM    46269C102      197,309    31,824   SH         SOLE         1     31,824
IRIS INTERNATIONAL INC          COM    46270W105      116,601    12,999   SH         SOLE         1     12,999
IROBOT CORP                     COM    462726100      496,533    19,735   SH         SOLE         1     19,735
IRON MOUNTAIN INC               COM    462846106    2,972,343    94,002   SH         SOLE         1     94,002
IRON MTN INC                    COM    462846106      296,564     9,379   SH         DEFINED      3                          9,379
IRON MTN INC                    COM    462846106        1,549        49   SH         DEFINED      2                             49
IRONWOOD PHARMACEUTICALS I      COM    46333X108      397,904    36,843   SH         SOLE         1     36,843
ISHARES GOLD TRUST              COM    464285105    1,355,016    85,598   SH         DEFINED      4                         85,598
ISHARES GOLD TRUST              COM    464285105      416,155    26,289   SH         DEFINED      3                         26,289
ISHARES GOLD TRUST              COM    464285105    3,807,590   240,530   SH         DEFINED      2                        240,530
ISHARES GOLD TRUST              COM    464285905          300        10   SH  C      DEFINED      2                             10
ISHARES INC                     COM    464286103       62,186     3,100   SH         DEFINED      4                          3,100
ISHARES INC                     COM    464286400      232,381     4,468   SH         DEFINED      4                          4,468
ISHARES INC                     COM    464286509       15,676       615   SH         DEFINED      4                            615
ISHARES INC                     COM    464286640       85,173     1,601   SH         DEFINED      4                          1,601
ISHARES INC                     COM    464286657        4,403       130   SH         DEFINED      4                            130
ISHARES INC                     COM    464286665       58,060     1,579   SH         DEFINED      4                          1,579
ISHARES INC                     COM    464286673        5,500       500   SH         DEFINED      4                            500
ISHARES INC                     COM    464286707        8,668       455   SH         DEFINED      4                            455
ISHARES INC                     COM    464286756       10,920       475   SH         DEFINED      4                            475
ISHARES INC                     COM    464286772       27,337       587   SH         DEFINED      4                            587
ISHARES INC                     COM    464286780        5,315        94   SH         DEFINED      4                             94
ISHARES INC                     COM    464286806       18,325     1,003   SH         DEFINED      4                          1,003
ISHARES INC                     COM    464286822       76,262     1,557   SH         DEFINED      4                          1,557
ISHARES INC                     COM    464286830      113,113     9,283   SH         DEFINED      4                          9,283
ISHARES INC                     COM    464286848       35,002     3,700   SH         DEFINED      4                          3,700
ISHARES INC                     COM    464286624       71,874     1,350   SH         DEFINED      4                          1,350
ISHARES INC                     COM    464286715       11,657       245   SH         DEFINED      4                            245
ISHARES INC                     COM    464286103      296,487    14,780   SH         DEFINED      3                         14,780
ISHARES INC                     COM    464286400      918,542    17,661   SH         DEFINED      3                         17,661
ISHARES INC                     COM    464286509      177,818     6,976   SH         DEFINED      3                          6,976
ISHARES INC                     COM    464286640       36,176       680   SH         DEFINED      3                            680
ISHARES INC                     COM    464286657       51,110     1,509   SH         DEFINED      3                          1,509
ISHARES INC                     COM    464286665       17,130       466   SH         DEFINED      3                            466
ISHARES INC                     COM    464286731           94         8   SH         DEFINED      3                              8
ISHARES INC                     COM    464286756        2,483       108   SH         DEFINED      3                            108
ISHARES INC                     COM    464286772        1,397        30   SH         DEFINED      3                             30
ISHARES INC                     COM    464286806       64,584     3,535   SH         DEFINED      3                          3,535
ISHARES INC                     COM    464286822       38,204       780   SH         DEFINED      3                            780
ISHARES INC                     COM    464286830       76,851     6,307   SH         DEFINED      3                          6,307
ISHARES INC                     COM    464286848       34,075     3,602   SH         DEFINED      3                          3,602
ISHARES INC                     COM    464286871       13,656       953   SH         DEFINED      3                            953
ISHARES INC                     COM    464286202        1,501       100   SH         DEFINED      3                            100
ISHARES INC                     COM    464286624       57,819     1,086   SH         DEFINED      3                          1,086
ISHARES INC                     COM    464286632        8,028       200   SH         DEFINED      3                            200
ISHARES INC                     COM    464286103      388,887    19,386   SH         DEFINED      2                         19,386
ISHARES INC                     COM    464286400      162,803     3,130   SH         DEFINED      2                          3,130
ISHARES INC                     COM    464286509       25,490     1,000   SH         DEFINED      2                          1,000
ISHARES INC                     COM    464286608        6,229       228   SH         DEFINED      2                            228
ISHARES INC                     COM    464286640          904        17   SH         DEFINED      2                             17
ISHARES INC                     COM    464286657        8,129       240   SH         DEFINED      2                            240
ISHARES INC                     COM    464286665      122,555     3,333   SH         DEFINED      2                          3,333
ISHARES INC                     COM    464286673        3,993       363   SH         DEFINED      2                            363
ISHARES INC                     COM    464286731       11,456       970   SH         DEFINED      2                            970
ISHARES INC                     COM    464286749       10,570       488   SH         DEFINED      2                            488
ISHARES INC                     COM    464286756       28,370     1,234   SH         DEFINED      2                          1,234
ISHARES INC                     COM    464286772       30,736       660   SH         DEFINED      2                            660
ISHARES INC                     COM    464286780       10,912       193   SH         DEFINED      2                            193
ISHARES INC                     COM    464286806       12,351       676   SH         DEFINED      2                            676
ISHARES INC                     COM    464286830      201,187    16,511   SH         DEFINED      2                         16,511
ISHARES INC                     COM    464286848      116,623    12,328   SH         DEFINED      2                         12,328
ISHARES INC                     COM    464286871        4,299       300   SH         DEFINED      2                            300






                                            ----------------------------------------------------------------------------------------
                                                                               13F SECURITIES - 3Q 2011
                                            ----------------------------------------------------------------------------------------
                                                                                                                VOTING AUTHORITY
                              TITLE OF        CUSIP        ACTUAL    SHARES/  SH/  PUT/ INVESTMENT OTHER ---------------------------
           ISSUER NAME         CLASS          NUMBER        VALUE   PRINCIPAL PRN  CALL DISCRETION  MGRS SOLE (A) SHARED (B) NONE(C)
----------------------------- --------      ---------   ----------  --------- ---  ---- ---------- ----- -------- ---------- -------
                                                                                            
ISHARES INC                     COM         464286582        9,376       205   SH        DEFINED      2                         205
ISHARES INC                     COM         464286624      801,315    15,051   SH        DEFINED      2                      15,051
ISHARES RUSSELL MIDCAP GRO      RUSS MCP    464287481    1,350,208    27,200   SH        SOLE         1    27,200
ISHARES RUSSELL MIDCAP IND      RUSS MCP    464287499    1,888,550    21,400   SH        SOLE         1    21,400
ISHARES RUSSELL MIDCAP VAL      RUSS MCP V  464287473    2,780,176    72,100   SH        SOLE         1    72,100
ISHARES S&P GSCI COMMODITY I    COM         46428R107      223,044     7,388   SH        DEFINED      4                       7,388
ISHARES S&P GSCI COMMODITY I    COM         46428R107      188,869     6,256   SH        DEFINED      3                       6,256
ISHARES S&P GSCI COMMODITY I    COM         46428R107        4,136       137   SH        DEFINED      2                         137
ISHARES S+P 500 GROWTH IND      S&P 500 GR  464287309      649,144    10,600   SH        SOLE         1    10,600
ISHARES S+P 500 INDEX FUND      S&P 500 IND 464287200      284,225     2,500   SH        SOLE         1     2,500
ISHARES S+P 500 VALUE INDE      S&P 500 VAL 464287408       61,896     1,200   SH        SOLE         1     1,200
ISHARES S+P SMALLCAP 600 I      S&P SML CAP 464287804       99,450     1,700   SH        SOLE         1     1,700
ISHARES SILVER TRUST            COM         46428Q109      744,635    25,757   SH        DEFINED      4                      25,757
ISHARES SILVER TRUST            COM         46428Q909        2,370        20   SH  C     DEFINED      4                          20
ISHARES SILVER TRUST            COM         46428Q109    1,569,004    54,272   SH        DEFINED      3                      54,272
ISHARES SILVER TRUST            COM         46428Q909        3,472        47   SH  C     DEFINED      3                          47
ISHARES SILVER TRUST            COM         46428Q109    3,592,299   124,258   SH        DEFINED      2                     124,258
ISHARES TR                      COM         464287101        7,766       151   SH        DEFINED      4                         151
ISHARES TR                      COM         464287168      165,511     3,431   SH        DEFINED      4                       3,431
ISHARES TR                      COM         464287176    1,536,336    13,441   SH        DEFINED      4                      13,441
ISHARES TR                      COM         464287184       52,226     1,694   SH        DEFINED      4                       1,694
ISHARES TR                      COM         464287192       26,334       350   SH        DEFINED      4                         350
ISHARES TR                      COM         464287200       68,896       606   SH        DEFINED      4                         606
ISHARES TR                      COM         464287226      246,646     2,240   SH        DEFINED      4                       2,240
ISHARES TR                      COM         464287234    1,235,941    35,217   SH        DEFINED      4                      35,217
ISHARES TR                      COM         464287242    3,045,515    27,117   SH        DEFINED      4                      27,117
ISHARES TR                      COM         464287275       13,575       250   SH        DEFINED      4                         250
ISHARES TR                      COM         464287291        4,372        80   SH        DEFINED      4                          80
ISHARES TR                      COM         464287309      324,450     5,298   SH        DEFINED      4                       5,298
ISHARES TR                      COM         464287325       25,970       500   SH        DEFINED      4                         500
ISHARES TR                      COM         464287333        2,246        65   SH        DEFINED      4                          65
ISHARES TR                      COM         464287341      102,858     3,100   SH        DEFINED      4                       3,100
ISHARES TR                      COM         464287374       36,839     1,101   SH        DEFINED      4                       1,101
ISHARES TR                      COM         464287408      154,431     2,994   SH        DEFINED      4                       2,994
ISHARES TR                      COM         464287432      316,496     2,620   SH        DEFINED      4                       2,620
ISHARES TR                      COM         464287440    2,120,102    20,178   SH        DEFINED      4                      20,178
ISHARES TR                      COM         464287457    1,071,618    12,671   SH        DEFINED      4                      12,671
ISHARES TR                      COM         464287465      459,883     9,625   SH        DEFINED      4                       9,625
ISHARES TR                      COM         464287473      832,857    21,599   SH        DEFINED      4                      21,599
ISHARES TR                      COM         464287481       48,995       987   SH        DEFINED      4                         987
ISHARES TR                      COM         464287499      158,938     1,801   SH        DEFINED      4                       1,801
ISHARES TR                      COM         464287507      303,771     3,895   SH        DEFINED      4                       3,895
ISHARES TR                      COM         464287515       20,868       400   SH        DEFINED      4                         400
ISHARES TR                      COM         464287556       64,412       690   SH        DEFINED      4                         690
ISHARES TR                      COM         464287564       81,118     1,322   SH        DEFINED      4                       1,322
ISHARES TR                      COM         464287572       16,086       300   SH        DEFINED      4                         300
ISHARES TR                      COM         464287598      134,797     2,382   SH        DEFINED      4                       2,382
ISHARES TR                      COM         464287606       23,808       265   SH        DEFINED      4                         265
ISHARES TR                      COM         464287614      232,877     4,429   SH        DEFINED      4                       4,429
ISHARES TR                      COM         464287630       60,395     1,059   SH        DEFINED      4                       1,059
ISHARES TR                      COM         464287648        5,510        75   SH        DEFINED      4                          75
ISHARES TR                      COM         464287655      259,515     4,036   SH        DEFINED      4                       4,036
ISHARES TR                      COM         464287663       44,400       600   SH        DEFINED      4                         600
ISHARES TR                      COM         464287671      549,722    12,859   SH        DEFINED      4                      12,859
ISHARES TR                      COM         464287689       27,493       412   SH        DEFINED      4                         412
ISHARES TR                      COM         464287697        8,175       100   SH        DEFINED      4                         100
ISHARES TR                      COM         464287705       17,889       271   SH        DEFINED      4                         271
ISHARES TR                      COM         464287721       36,963       625   SH        DEFINED      4                         625
ISHARES TR                      COM         464287739      915,924    18,112   SH        DEFINED      4                      18,112
ISHARES TR                      COM         464287762        6,531       100   SH        DEFINED      4                         100
ISHARES TR                      COM         464287796      125,187     3,695   SH        DEFINED      4                       3,695
ISHARES TR                      COM         464287804       68,199     1,165   SH        DEFINED      4                       1,165
ISHARES TR                      COM         464287812       12,582       200   SH        DEFINED      4                         200
ISHARES TR                      COM         464287838      154,533     2,738   SH        DEFINED      4                       2,738
ISHARES TR                      COM         464287879        2,664        45   SH        DEFINED      4                          45
ISHARES TR                      COM         464287887       32,230       500   SH        DEFINED      4                         500
ISHARES TR                      COM         464288323      149,592     1,390   SH        DEFINED      4                       1,390
ISHARES TR                      COM         464288356       10,955       100   SH        DEFINED      4                         100
ISHARES TR                      COM         464288414    1,901,356    17,828   SH        DEFINED      4                      17,828
ISHARES TR                      COM         464288513      629,831     7,604   SH        DEFINED      4                       7,604
ISHARES TR                      COM         464288588      108,082       999   SH        DEFINED      4                         999
ISHARES TR                      COM         464288646       73,930       711   SH        DEFINED      4                         711
ISHARES TR                      COM         464288661       31,099       256   SH        DEFINED      4                         256
ISHARES TR                      COM         464288687    1,496,640    42,029   SH        DEFINED      4                      42,029
ISHARES TR                      COM         464288778        2,533       140   SH        DEFINED      4                         140
ISHARES TR                      COM         464288802        5,047       101   SH        DEFINED      4                         101
ISHARES TR                      COM         464288810      442,461     7,840   SH        DEFINED      4                       7,840
ISHARES TR                      COM         464288828       15,353       298   SH        DEFINED      4                         298
ISHARES TR                      COM         464288851       46,062       900   SH        DEFINED      4                         900
ISHARES TR                      COM         464288869       31,244       794   SH        DEFINED      4                         794
ISHARES TR                      COM         464288885       22,926       460   SH        DEFINED      4                         460






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ISHARES TR                      COM    464288109        5,276       100   SH         DEFINED      4                            100
ISHARES TR                      COM    464288125       91,220       893   SH         DEFINED      4                            893
ISHARES TR                      COM    464288174      366,564    10,687   SH         DEFINED      4                         10,687
ISHARES TR                      COM    464288208        3,750        50   SH         DEFINED      4                             50
ISHARES TR                      COM    464288224        3,801       410   SH         DEFINED      4                            410
ISHARES TR                      COM    464288281      120,717     1,145   SH         DEFINED      4                          1,145
ISHARES TR                      COM    464288448       48,444     1,710   SH         DEFINED      4                          1,710
ISHARES TR                      COM    464288489        2,599       104   SH         DEFINED      4                            104
ISHARES TR                      COM    464288497        2,506        81   SH         DEFINED      4                             81
ISHARES TR                      COM    464288620       92,997       863   SH         DEFINED      4                            863
ISHARES TR                      COM    464288638       96,111       900   SH         DEFINED      4                            900
ISHARES TR                      COM    464288653      275,484     2,084   SH         DEFINED      4                          2,084
ISHARES TR                      COM    464288679       21,940       199   SH         DEFINED      4                            199
ISHARES TR                      COM    464288695       28,156       525   SH         DEFINED      4                            525
ISHARES TR                      COM    464288703       11,434       168   SH         DEFINED      4                            168
ISHARES TR                      COM    464288711        8,276       200   SH         DEFINED      4                            200
ISHARES TR                      COM    464288760       39,077       717   SH         DEFINED      4                            717
ISHARES TR                      COM    464289511    1,115,183    19,381   SH         DEFINED      4                         19,381
ISHARES TR                      COM    464289859       17,504       575   SH         DEFINED      4                            575
ISHARES TR                      COM    46429B309       70,336     2,722   SH         DEFINED      4                          2,722
ISHARES TR                      COM    46429B606       11,620       500   SH         DEFINED      4                            500
ISHARES TR                      COM    46429B663       24,975       500   SH         DEFINED      4                            500
ISHARES TR                      COM    464287952       58,784       352   SH  P      DEFINED      4                            352
ISHARES TR                      COM    464287101       21,955       427   SH         DEFINED      3                            427
ISHARES TR                      COM    464287143      183,193     2,900   SH         DEFINED      3                          2,900
ISHARES TR                      COM    464287168    1,240,335    25,712   SH         DEFINED      3                         25,712
ISHARES TR                      COM    464287176    4,859,720    42,517   SH         DEFINED      3                         42,517
ISHARES TR                      COM    464287184      157,177     5,098   SH         DEFINED      3                          5,098
ISHARES TR                      COM    464287192       34,234       455   SH         DEFINED      3                            455
ISHARES TR                      COM    464287200      641,439     5,642   SH         DEFINED      3                          5,642
ISHARES TR                      COM    464287226    2,118,977    19,244   SH         DEFINED      3                         19,244
ISHARES TR                      COM    464287234      935,649    26,660   SH         DEFINED      3                         26,660
ISHARES TR                      COM    464287242    1,151,655    10,254   SH         DEFINED      3                         10,254
ISHARES TR                      COM    464287275      255,427     4,704   SH         DEFINED      3                          4,704
ISHARES TR                      COM    464287291      250,242     4,579   SH         DEFINED      3                          4,579
ISHARES TR                      COM    464287309      898,956    14,679   SH         DEFINED      3                         14,679
ISHARES TR                      COM    464287325       43,058       829   SH         DEFINED      3                            829
ISHARES TR                      COM    464287333       18,559       537   SH         DEFINED      3                            537
ISHARES TR                      COM    464287341      134,346     4,049   SH         DEFINED      3                          4,049
ISHARES TR                      COM    464287374      133,093     3,978   SH         DEFINED      3                          3,978
ISHARES TR                      COM    464287408       69,370     1,345   SH         DEFINED      3                          1,345
ISHARES TR                      COM    464287432       85,647       709   SH         DEFINED      3                            709
ISHARES TR                      COM    464287440      789,811     7,517   SH         DEFINED      3                          7,517
ISHARES TR                      COM    464287457      728,892     8,619   SH         DEFINED      3                          8,619
ISHARES TR                      COM    464287465      401,441     8,402   SH         DEFINED      3                          8,402
ISHARES TR                      COM    464287473      464,031    12,034   SH         DEFINED      3                         12,034
ISHARES TR                      COM    464287481      823,279    16,585   SH         DEFINED      3                         16,585
ISHARES TR                      COM    464287499      177,831     2,015   SH         DEFINED      3                          2,015
ISHARES TR                      COM    464287507      201,045     2,578   SH         DEFINED      3                          2,578
ISHARES TR                      COM    464287531        6,293       250   SH         DEFINED      3                            250
ISHARES TR                      COM    464287549      850,508    15,366   SH         DEFINED      3                         15,366
ISHARES TR                      COM    464287556       89,523       959   SH         DEFINED      3                            959
ISHARES TR                      COM    464287564    1,310,904    21,364   SH         DEFINED      3                         21,364
ISHARES TR                      COM    464287572        9,491       177   SH         DEFINED      3                            177
ISHARES TR                      COM    464287580        5,885        92   SH         DEFINED      3                             92
ISHARES TR                      COM    464287598    1,304,117    23,045   SH         DEFINED      3                         23,045
ISHARES TR                      COM    464287606      131,795     1,467   SH         DEFINED      3                          1,467
ISHARES TR                      COM    464287614    1,689,974    32,141   SH         DEFINED      3                         32,141
ISHARES TR                      COM    464287622      105,130     1,681   SH         DEFINED      3                          1,681
ISHARES TR                      COM    464287630      299,680     5,255   SH         DEFINED      3                          5,255
ISHARES TR                      COM    464287648      336,786     4,584   SH         DEFINED      3                          4,584
ISHARES TR                      COM    464287655      387,613     6,028   SH         DEFINED      3                          6,028
ISHARES TR                      COM    464287671       90,630     2,120   SH         DEFINED      3                          2,120
ISHARES TR                      COM    464287689      390,611     5,854   SH         DEFINED      3                          5,854
ISHARES TR                      COM    464287697       18,921       231   SH         DEFINED      3                            231
ISHARES TR                      COM    464287705      254,535     3,856   SH         DEFINED      3                          3,856
ISHARES TR                      COM    464287713       14,089       691   SH         DEFINED      3                            691
ISHARES TR                      COM    464287721       34,006       575   SH         DEFINED      3                            575
ISHARES TR                      COM    464287739      900,154    17,800   SH         DEFINED      3                         17,800
ISHARES TR                      COM    464287754       32,909       599   SH         DEFINED      3                            599
ISHARES TR                      COM    464287762       42,778       655   SH         DEFINED      3                            655
ISHARES TR                      COM    464287770        2,055        50   SH         DEFINED      3                             50
ISHARES TR                      COM    464287788       24,536       556   SH         DEFINED      3                            556
ISHARES TR                      COM    464287796      135,825     4,009   SH         DEFINED      3                          4,009
ISHARES TR                      COM    464287804      274,347     4,686   SH         DEFINED      3                          4,686
ISHARES TR                      COM    464287812      102,626     1,631   SH         DEFINED      3                          1,631
ISHARES TR                      COM    464287838       36,404       645   SH         DEFINED      3                            645
ISHARES TR                      COM    464287846      185,121     3,273   SH         DEFINED      3                          3,273
ISHARES TR                      COM    464287879      107,785     1,821   SH         DEFINED      3                          1,821
ISHARES TR                      COM    464287887       97,335     1,510   SH         DEFINED      3                          1,510
ISHARES TR                      COM    464288273          629        18   SH         DEFINED      3                             18






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ISHARES TR                      COM    464288414       70,709       663   SH         DEFINED      3                            663
ISHARES TR                      COM    464288513    1,320,276    15,940   SH         DEFINED      3                         15,940
ISHARES TR                      COM    464288539      492,338    39,577   SH         DEFINED      3                         39,577
ISHARES TR                      COM    464288570        4,235       100   SH         DEFINED      3                            100
ISHARES TR                      COM    464288588        1,839        17   SH         DEFINED      3                             17
ISHARES TR                      COM    464288646      121,137     1,165   SH         DEFINED      3                          1,165
ISHARES TR                      COM    464288661      685,147     5,640   SH         DEFINED      3                          5,640
ISHARES TR                      COM    464288687    1,615,586    45,369   SH         DEFINED      3                         45,369
ISHARES TR                      COM    464288752      157,422    17,589   SH         DEFINED      3                         17,589
ISHARES TR                      COM    464288794        5,967       300   SH         DEFINED      3                            300
ISHARES TR                      COM    464288802       33,362       668   SH         DEFINED      3                            668
ISHARES TR                      COM    464288828        3,709        72   SH         DEFINED      3                             72
ISHARES TR                      COM    464288844        6,936       160   SH         DEFINED      3                            160
ISHARES TR                      COM    464288851       50,719       991   SH         DEFINED      3                            991
ISHARES TR                      COM    464288869       28,394       722   SH         DEFINED      3                            722
ISHARES TR                      COM    464288877       32,509       784   SH         DEFINED      3                            784
ISHARES TR                      COM    464288885       16,696       335   SH         DEFINED      3                            335
ISHARES TR                      COM    464287119       11,314       188   SH         DEFINED      3                            188
ISHARES TR                      COM    464287127       38,438       599   SH         DEFINED      3                            599
ISHARES TR                      COM    464287150       31,209       609   SH         DEFINED      3                            609
ISHARES TR                      COM    464288109       46,798       887   SH         DEFINED      3                            887
ISHARES TR                      COM    464288125       40,656       398   SH         DEFINED      3                            398
ISHARES TR                      COM    464288158       58,636       550   SH         DEFINED      3                            550
ISHARES TR                      COM    464288166          451         4   SH         DEFINED      3                              4
ISHARES TR                      COM    464288190       12,019       325   SH         DEFINED      3                            325
ISHARES TR                      COM    464288281       17,607       167   SH         DEFINED      3                            167
ISHARES TR                      COM    464288307       22,103       254   SH         DEFINED      3                            254
ISHARES TR                      COM    464288372       19,134       600   SH         DEFINED      3                            600
ISHARES TR                      COM    464288406        9,572       149   SH         DEFINED      3                            149
ISHARES TR                      COM    464288422        5,548       200   SH         DEFINED      3                            200
ISHARES TR                      COM    464288448      345,909    12,210   SH         DEFINED      3                         12,210
ISHARES TR                      COM    464288463        2,358       100   SH         DEFINED      3                            100
ISHARES TR                      COM    464288505        7,732       106   SH         DEFINED      3                            106
ISHARES TR                      COM    464288562       29,085       750   SH         DEFINED      3                            750
ISHARES TR                      COM    464288604       11,581       158   SH         DEFINED      3                            158
ISHARES TR                      COM    464288620        1,832        17   SH         DEFINED      3                             17
ISHARES TR                      COM    464288638      198,523     1,859   SH         DEFINED      3                          1,859
ISHARES TR                      COM    464288653      225,516     1,706   SH         DEFINED      3                          1,706
ISHARES TR                      COM    464288695      148,180     2,763   SH         DEFINED      3                          2,763
ISHARES TR                      COM    464288703       10,807       159   SH         DEFINED      3                            159
ISHARES TR                      COM    464288711       49,863     1,205   SH         DEFINED      3                          1,205
ISHARES TR                      COM    464288729       18,790       429   SH         DEFINED      3                            429
ISHARES TR                      COM    464288737       26,675       431   SH         DEFINED      3                            431
ISHARES TR                      COM    464288745       10,913       232   SH         DEFINED      3                            232
ISHARES TR                      COM    464288760      103,169     1,893   SH         DEFINED      3                          1,893
ISHARES TR                      COM    464288836       33,180       500   SH         DEFINED      3                            500
ISHARES TR                      COM    464289446       13,029       490   SH         DEFINED      3                            490
ISHARES TR                      COM    464289511      212,610     3,695   SH         DEFINED      3                          3,695
ISHARES TR                      COM    464289636        3,911        75   SH         DEFINED      3                             75
ISHARES TR                      COM    464289875       90,753     3,137   SH         DEFINED      3                          3,137
ISHARES TR                      COM    46429B309       22,532       872   SH         DEFINED      3                            872
ISHARES TR                      COM    46429B408           64         3   SH         DEFINED      3                              3
ISHARES TR                      COM    46429B606        2,185        94   SH         DEFINED      3                             94
ISHARES TR                      COM    464287101       81,362     1,582   SH         DEFINED      2                          1,582
ISHARES TR                      COM    464287168    1,596,856    33,102   SH         DEFINED      2                         33,102
ISHARES TR                      COM    464287176    7,285,560    63,741   SH         DEFINED      2                         63,741
ISHARES TR                      COM    464287184      383,313    12,433   SH         DEFINED      2                         12,433
ISHARES TR                      COM    464287192        8,276       110   SH         DEFINED      2                            110
ISHARES TR                      COM    464287200    1,563,124    13,749   SH         DEFINED      2                         13,749
ISHARES TR                      COM    464287226    2,434,303    22,108   SH         DEFINED      2                         22,108
ISHARES TR                      COM    464287234    1,033,342    29,444   SH         DEFINED      2                         29,444
ISHARES TR                      COM    464287242    7,486,839    66,662   SH         DEFINED      2                         66,662
ISHARES TR                      COM    464287275       28,236       520   SH         DEFINED      2                            520
ISHARES TR                      COM    464287291       13,663       250   SH         DEFINED      2                            250
ISHARES TR                      COM    464287309       25,598       418   SH         DEFINED      2                            418
ISHARES TR                      COM    464287325        5,558       107   SH         DEFINED      2                            107
ISHARES TR                      COM    464287333       34,560     1,000   SH         DEFINED      2                          1,000
ISHARES TR                      COM    464287341      194,522     5,863   SH         DEFINED      2                          5,863
ISHARES TR                      COM    464287374      134,264     4,013   SH         DEFINED      2                          4,013
ISHARES TR                      COM    464287390       23,406       602   SH         DEFINED      2                            602
ISHARES TR                      COM    464287408       12,843       249   SH         DEFINED      2                            249
ISHARES TR                      COM    464287432    1,222,556    10,120   SH         DEFINED      2                         10,120
ISHARES TR                      COM    464287440    1,251,804    11,914   SH         DEFINED      2                         11,914
ISHARES TR                      COM    464287457      715,631     8,462   SH         DEFINED      2                          8,462
ISHARES TR                      COM    464287465      415,313     8,692   SH         DEFINED      2                          8,692
ISHARES TR                      COM    464287473      649,981    16,856   SH         DEFINED      2                         16,856
ISHARES TR                      COM    464287481       59,007     1,189   SH         DEFINED      2                          1,189
ISHARES TR                      COM    464287499      164,702     1,866   SH         DEFINED      2                          1,866
ISHARES TR                      COM    464287507    2,761,317    35,406   SH         DEFINED      2                         35,406
ISHARES TR                      COM    464287515          626        12   SH         DEFINED      2                             12
ISHARES TR                      COM    464287523        1,653        36   SH         DEFINED      2                             36






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ISHARES TR                      COM    464287531          403        16   SH         DEFINED      2                             16
ISHARES TR                      COM    464287549        8,192       148   SH         DEFINED      2                            148
ISHARES TR                      COM    464287556       44,808       480   SH         DEFINED      2                            480
ISHARES TR                      COM    464287564       21,906       357   SH         DEFINED      2                            357
ISHARES TR                      COM    464287572       25,523       476   SH         DEFINED      2                            476
ISHARES TR                      COM    464287580       31,473       492   SH         DEFINED      2                            492
ISHARES TR                      COM    464287598      421,205     7,443   SH         DEFINED      2                          7,443
ISHARES TR                      COM    464287606    1,732,385    19,283   SH         DEFINED      2                         19,283
ISHARES TR                      COM    464287614      483,357     9,193   SH         DEFINED      2                          9,193
ISHARES TR                      COM    464287622        9,124       146   SH         DEFINED      2                            146
ISHARES TR                      COM    464287630    1,069,027    18,745   SH         DEFINED      2                         18,745
ISHARES TR                      COM    464287648       91,838     1,250   SH         DEFINED      2                          1,250
ISHARES TR                      COM    464287655       74,723     1,162   SH         DEFINED      2                          1,162
ISHARES TR                      COM    464287689      510,630     7,652   SH         DEFINED      2                          7,652
ISHARES TR                      COM    464287697        8,093        99   SH         DEFINED      2                             99
ISHARES TR                      COM    464287705       22,311       338   SH         DEFINED      2                            338
ISHARES TR                      COM    464287713        5,363       263   SH         DEFINED      2                            263
ISHARES TR                      COM    464287721      125,791     2,127   SH         DEFINED      2                          2,127
ISHARES TR                      COM    464287739      824,240    16,299   SH         DEFINED      2                         16,299
ISHARES TR                      COM    464287754          494         9   SH         DEFINED      2                              9
ISHARES TR                      COM    464287762       42,778       655   SH         DEFINED      2                            655
ISHARES TR                      COM    464287770          164         4   SH         DEFINED      2                              4
ISHARES TR                      COM    464287788        7,502       170   SH         DEFINED      2                            170
ISHARES TR                      COM    464287796      222,338     6,563   SH         DEFINED      2                          6,563
ISHARES TR                      COM    464287804      277,328     4,737   SH         DEFINED      2                          4,737
ISHARES TR                      COM    464287812      248,054     3,943   SH         DEFINED      2                          3,943
ISHARES TR                      COM    464287838       13,546       240   SH         DEFINED      2                            240
ISHARES TR                      COM    464287879       45,931       776   SH         DEFINED      2                            776
ISHARES TR                      COM    464287887      135,173     2,097   SH         DEFINED      2                          2,097
ISHARES TR                      COM    464288182          560        12   SH         DEFINED      2                             12
ISHARES TR                      COM    464288414      395,672     3,710   SH         DEFINED      2                          3,710
ISHARES TR                      COM    464288513    2,694,851    32,535   SH         DEFINED      2                         32,535
ISHARES TR                      COM    464288539        2,488       200   SH         DEFINED      2                            200
ISHARES TR                      COM    464288570       64,457     1,522   SH         DEFINED      2                          1,522
ISHARES TR                      COM    464288588      482,852     4,463   SH         DEFINED      2                          4,463
ISHARES TR                      COM    464288646    2,574,138    24,756   SH         DEFINED      2                         24,756
ISHARES TR                      COM    464288661      594,098     4,891   SH         DEFINED      2                          4,891
ISHARES TR                      COM    464288687    1,488,374    41,797   SH         DEFINED      2                         41,797
ISHARES TR                      COM    464288752       19,153     2,140   SH         DEFINED      2                          2,140
ISHARES TR                      COM    464288778       12,663       700   SH         DEFINED      2                            700
ISHARES TR                      COM    464288810       16,932       300   SH         DEFINED      2                            300
ISHARES TR                      COM    464288851        2,559        50   SH         DEFINED      2                             50
ISHARES TR                      COM    464288869       22,430       570   SH         DEFINED      2                            570
ISHARES TR                      COM    464288877       10,373       250   SH         DEFINED      2                            250
ISHARES TR                      COM    464288885        2,542        51   SH         DEFINED      2                             51
ISHARES TR                      COM    464287127      107,806     1,680   SH         DEFINED      2                          1,680
ISHARES TR                      COM    464288117        9,940        95   SH         DEFINED      2                             95
ISHARES TR                      COM    464288174        6,860       200   SH         DEFINED      2                            200
ISHARES TR                      COM    464288281      439,011     4,164   SH         DEFINED      2                          4,164
ISHARES TR                      COM    464288372       60,591     1,900   SH         DEFINED      2                          1,900
ISHARES TR                      COM    464288448      226,272     7,987   SH         DEFINED      2                          7,987
ISHARES TR                      COM    464288505      461,418     6,326   SH         DEFINED      2                          6,326
ISHARES TR                      COM    464288653      125,184       947   SH         DEFINED      2                            947
ISHARES TR                      COM    464288679      737,793     6,692   SH         DEFINED      2                          6,692
ISHARES TR                      COM    464288695      164,483     3,067   SH         DEFINED      2                          3,067
ISHARES TR                      COM    464288737      619,086    10,003   SH         DEFINED      2                         10,003
ISHARES TR                      COM    464288760       11,718       215   SH         DEFINED      2                            215
ISHARES TR                      COM    464288836        7,631       115   SH         DEFINED      2                            115
ISHARES TR                      COM    464289875      421,915    14,584   SH         DEFINED      2                         14,584
ISHARES TR                      COM    464289883       65,065     2,275   SH         DEFINED      2                          2,275
ISHARES TR                      COM    46429B309      186,746     7,227   SH         DEFINED      2                          7,227
ISHARES TR                      COM    46429B747    1,499,207    14,788   SH         DEFINED      2                         14,788
ISIS PHARMACEUTICALS INC        COM    464330109      493,191    72,742   SH         SOLE         1     72,742
ISIS PHARMACEUTICALS INC        COM    464330109        6,780     1,000   SH         DEFINED      3                          1,000
ISIS PHARMACEUTICALS INC        COM    464330109          678       100   SH         DEFINED      2                            100
ISLE OF CAPRI CASINOS           COM    464592104       72,145    14,906   SH         SOLE         1     14,906
ISLE OF CAPRI CASINOS INC       COM    464592104          295        61   SH         DEFINED      3                             61
ISRAMCO INC                     COM    465141406       45,192       782   SH         SOLE         1        782
ISTA PHARMACEUTICALS INC        COM    45031X204       80,792    23,418   SH         SOLE         1     23,418
ISTAR FINANCIAL INC             COM    45031U101      393,083    67,540   SH         SOLE         1     67,540
ISTAR FINL INC                  COM    45031U101       15,272     2,624   SH         DEFINED      3                          2,624
ITAU UNIBANCO HLDG SA           COM    465562106       14,403       928   SH         DEFINED      4                            928
ITAU UNIBANCO HLDG SA           COM    465562106       19,054     1,228   SH         DEFINED      3                          1,228
ITC HLDGS CORP                  COM    465685105      607,516     7,846   SH         DEFINED      4                          7,846
ITC HLDGS CORP                  COM    465685105       49,555       640   SH         DEFINED      3                            640
ITC HLDGS CORP                  COM    465685105       26,558       343   SH         DEFINED      2                            343
ITC HOLDINGS CORP               COM    465685105       61,712       797   SH         SOLE         1        797
ITRON INC                       COM    465741106    2,635,176    89,328   SH         SOLE         1     89,328
ITRON INC                       COM    465741106        1,180        40   SH         DEFINED      3                             40
ITRON INC                       COM    465741106        3,275       111   SH         DEFINED      2                            111
ITT CORP                        COM    450911102    2,835,042    67,501   SH         SOLE         1     67,501






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ITT CORP NEW                    COM    450911102      156,408     3,724   SH         DEFINED      3                          3,724
ITT CORP NEW                    COM    450911102      291,942     6,951   SH         DEFINED      2                          6,951
ITT EDUCATIONAL SERVICES I      COM    45068B109    2,550,103    44,288   SH         SOLE         1     44,288
ITT EDUCATIONAL SERVICES INC    COM    45068B109        5,470        95   SH         DEFINED      3                             95
IVANHOE MINES LTD               COM    46579N103       10,960       800   SH         DEFINED      4                            800
IVANHOE MINES LTD               COM    46579N103        9,590       700   SH         DEFINED      3                            700
IXIA                            COM    45071R109      216,302    28,201   SH         SOLE         1     28,201
IXYS CORPORATION                COM    46600W106      191,956    17,643   SH         SOLE         1     17,643
J & J SNACK FOODS CORP          COM    466032109        1,682        35   SH         DEFINED      3                             35
J + J SNACK FOODS CORP          COM    466032109      562,906    11,715   SH         SOLE         1     11,715
J.C. PENNEY CO INC              COM    708160106    1,291,251    48,217   SH         SOLE         1     48,217
J2 GLOBAL COMMUNICATIONS I      COM    46626E205    1,014,049    37,697   SH         SOLE         1     37,697
JA SOLAR HOLDINGS CO LTD        COM    466090107        5,919     3,325   SH         DEFINED      4                          3,325
JA SOLAR HOLDINGS CO LTD        COM    466090107        1,157       650   SH         DEFINED      3                            650
JABIL CIRCUIT INC               COM    466313103    1,711,024    96,179   SH         SOLE         1     96,179
JABIL CIRCUIT INC               COM    466313103          925        52   SH         DEFINED      4                             52
JABIL CIRCUIT INC               COM    466313103       23,127     1,300   SH         DEFINED      3                          1,300
JACK HENRY + ASSOCIATES IN      COM    426281101    7,255,230   250,353   SH         SOLE         1    250,353
JACK IN THE BOX INC             COM    466367109      756,940    37,999   SH         SOLE         1     37,999
JACOBS ENGINEERING GROUP I      COM    469814107    1,368,676    42,387   SH         SOLE         1     42,387
JACOBS ENGR GROUP INC DEL       COM    469814107       13,142       407   SH         DEFINED      3                            407
JAGUAR MINING INC               COM    47009M103      289,642    61,626   SH         SOLE         1     61,626
JAKKS PACIFIC INC               COM    47012E106      422,358    22,288   SH         SOLE         1     22,288
JAMBA INC                       COM    47023A101       62,093    48,134   SH         SOLE         1     48,134
JAMES RIVER COAL CO             COM    470355207    1,969,336   309,158   SH         SOLE         1    309,158
JAMES RIVER COAL CO             COM    470355207        5,733       900   SH         DEFINED      3                            900
JANUS CAP GROUP INC             COM    47102X105        5,502       917   SH         DEFINED      4                            917
JANUS CAPITAL GROUP INC         COM    47102X105      872,622   145,437   SH         SOLE         1    145,437
JARDEN CORP                     COM    471109108    5,349,788   189,306   SH         SOLE         1    189,306
JARDEN CORP                     COM    471109108        1,498        53   SH         DEFINED      2                             53
JAZZ PHARMACEUTICALS INC        COM    472147107      669,635    16,128   SH         SOLE         1     16,128
JAZZ PHARMACEUTICALS INC        COM    472147107      141,100     3,400   SH         DEFINED      3                          3,400
JAZZ PHARMACEUTICALS INC        COM    472147107       48,680     1,173   SH         DEFINED      2                          1,173
JDA SOFTWARE GROUP INC          COM    46612K108      812,876    34,679   SH         SOLE         1     34,679
JDA SOFTWARE GROUP INC          COM    46612K108        2,930       125   SH         DEFINED      3                            125
JDS UNIPHASE CORP               COM    46612J507      914,568    91,732   SH         SOLE         1     91,732
JDS UNIPHASE CORP               COM    46612J507       12,861     1,290   SH         DEFINED      4                          1,290
JDS UNIPHASE CORP               COM    46612J507      110,567    11,090   SH         DEFINED      3                         11,090
JDS UNIPHASE CORP               COM    46612J507        4,806       482   SH         DEFINED      2                            482
JEFFERIES GROUP INC             COM    472319102    4,016,658   323,663   SH         SOLE         1    323,663
JEFFERIES GROUP INC NEW         COM    472319102          745        60   SH         DEFINED      3                             60
JETBLUE AIRWAYS CORP            COM    477143101    2,551,783   622,386   SH         SOLE         1    622,386
JETBLUE AIRWAYS CORP            COM    477143101        1,841       450   SH         DEFINED      4                            450
JETBLUE AIRWAYS CORP            COM    477143101       14,609     3,572   SH         DEFINED      3                          3,572
JM SMUCKER CO/THE               COM    832696405    4,936,913    67,731   SH         SOLE         1     67,731
JMP GROUP INC                   COM    46629U107       64,288    11,065   SH         SOLE         1     11,065
JOHN BEAN TECHNOLOGIES COR      COM    477839104      334,597    23,464   SH         SOLE         1     23,464
JOHN BEAN TECHNOLOGIES CORP     COM    477839104          200        14   SH         DEFINED      4                             14
JOHN HANCOCK BK &THRIFT OPP     COM    409735206        1,247       100   SH         DEFINED      4                            100
JOHNSON & JOHNSON               COM    478160104    1,430,012    22,453   SH         DEFINED      4                         22,453
JOHNSON & JOHNSON               COM    478160104    3,668,103    57,593   SH         DEFINED      3                         57,593
JOHNSON & JOHNSON               COM    478160104    2,499,890    39,251   SH         DEFINED      2                         39,251
JOHNSON + JOHNSON               COM    478160104  120,223,764 1,887,047   SH         SOLE         1  1,887,047
JOHNSON CONTROLS INC            COM    478366107    7,737,459   293,419   SH         SOLE         1    293,419
JOHNSON CTLS INC                COM    478366107       88,340     3,350   SH         DEFINED      4                          3,350
JOHNSON CTLS INC                COM    478366107      850,669    32,259   SH         DEFINED      3                         32,259
JOHNSON CTLS INC                COM    478366107      167,450     6,350   SH         DEFINED      2                          6,350
JOHNSON OUTDOORS INC A          COM    479167108       54,230     3,526   SH         SOLE         1      3,526
JONES GROUP INC/THE             COM    48020T101    2,826,310   306,874   SH         SOLE         1    306,874
JONES LANG LASALLE INC          COM    48020Q107    4,913,142    94,830   SH         SOLE         1     94,830
JONES SODA CO                   COM    48023P106          327       500   SH         DEFINED      3                            500
JOS A BANK CLOTHIERS INC        COM    480838101    1,056,123    22,649   SH         SOLE         1     22,649
JOURNAL COMMUNICATIONS INC      COM    481130102       93,712    31,553   SH         SOLE         1     31,553
JOY GLOBAL INC                  COM    481165108    3,096,917    49,646   SH         SOLE         1     49,646
JOY GLOBAL INC                  COM    481165108      149,712     2,400   SH         DEFINED      4                          2,400
JOY GLOBAL INC                  COM    481165108       43,856       703   SH         DEFINED      3                            703
JOY GLOBAL INC                  COM    481165108      218,330     3,500   SH         DEFINED      2                          3,500
JPMORGAN CHASE & CO             COM    46625H100      211,248     7,014   SH         DEFINED      4                          7,014
JPMORGAN CHASE & CO             COM    46625H365      150,822     4,429   SH         DEFINED      4                          4,429
JPMORGAN CHASE & CO             COM    46625H100      663,806    22,039   SH         DEFINED      3                         22,039
JPMORGAN CHASE & CO             COM    46625H365    1,348,327    39,598   SH         DEFINED      3                         39,598
JPMORGAN CHASE & CO             COM    46625H100      287,680     9,551   SH         DEFINED      2                          9,551
JPMORGAN CHASE & CO             COM    46625H365      474,816    13,945   SH         DEFINED      2                         13,945
JPMORGAN CHASE + CO             COM    46625H100   66,139,273 2,195,859   SH         SOLE         1  2,195,859
JUNIPER NETWORKS INC            COM    48203R104    3,265,281   189,182   SH         SOLE         1    189,182
JUNIPER NETWORKS INC            COM    48203R104       44,445     2,575   SH         DEFINED      4                          2,575
JUNIPER NETWORKS INC            COM    48203R104       32,259     1,869   SH         DEFINED      3                          1,869
JUNIPER NETWORKS INC            COM    48203R104       27,081     1,569   SH         DEFINED      2                          1,569
K SWISS INC A                   COM    482686102       91,609    21,555   SH         SOLE         1     21,555
K12 INC                         COM    48273U102      483,333    18,984   SH         SOLE         1     18,984
KADANT INC                      COM    48282T104      159,609     8,987   SH         SOLE         1      8,987






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
KADANT INC                      COM    48282T104          160         9   SH         DEFINED      3                              9
KAISER ALUMINUM CORP            COM    483007704      588,791    13,297   SH         SOLE         1     13,297
KAMAN CORP                      COM    483548103      599,527    21,527   SH         SOLE         1     21,527
KANSAS CITY LIFE INS CO         COM    484836101       96,438     3,124   SH         SOLE         1      3,124
KANSAS CITY LIFE INS CO         COM    484836101       27,783       900   SH         DEFINED      2                            900
KANSAS CITY SOUTHERN            COM    485170302   11,992,648   240,045   SH         SOLE         1    240,045
KANSAS CITY SOUTHERN            COM    485170302       39,968       800   SH         DEFINED      3                            800
KANSAS CITY SOUTHERN            COM    485170302        6,545       131   SH         DEFINED      2                            131
KAPSTONE PAPER AND PACKAGI      COM    48562P103      444,341    31,990   SH         SOLE         1     31,990
KAR AUCTION SERVICES INC        COM    48238T109        8,768       724   SH         SOLE         1        724
KAYDON CORP                     COM    486587108      765,240    26,682   SH         SOLE         1     26,682
KAYNE ANDERSON ENERGY DEV CO    COM    48660Q102       46,655     2,395   SH         DEFINED      2                          2,395
KAYNE ANDERSON ENRGY TTL RT     COM    48660P104       16,328       675   SH         DEFINED      4                            675
KAYNE ANDERSON ENRGY TTL RT     COM    48660P104        8,055       333   SH         DEFINED      3                            333
KAYNE ANDERSON MLP INVSMNT C    COM    486606106       31,937     1,148   SH         DEFINED      3                          1,148
KB HOME                         COM    48666K109    1,246,475   212,709   SH         SOLE         1    212,709
KB HOME                         COM    48666K109        6,486     1,107   SH         DEFINED      3                          1,107
KB HOME                         COM    48666K109        1,172       200   SH         DEFINED      2                            200
KBR INC                         COM    48242W106    7,827,296   331,244   SH         SOLE         1    331,244
KBR INC                         COM    48242W106       14,178       600   SH         DEFINED      4                            600
KBR INC                         COM    48242W106        3,714       157   SH         DEFINED      3                            157
KBW INC                         COM    482423100      363,891    26,388   SH         SOLE         1     26,388
KEARNY FINANCIAL CORP           COM    487169104       86,022     9,731   SH         SOLE         1      9,731
KELLOGG CO                      COM    487836108    9,854,139   185,263   SH         SOLE         1    185,263
KELLOGG CO                      COM    487836108       30,850       580   SH         DEFINED      4                            580
KELLOGG CO                      COM    487836108      147,885     2,780   SH         DEFINED      3                          2,780
KELLOGG CO                      COM    487836108       62,764     1,180   SH         DEFINED      2                          1,180
KELLY SERVICES INC CL A         COM    488152208      250,640    21,986   SH         SOLE         1     21,986
KELLY SVCS INC                  COM    488152208        5,700       500   SH         DEFINED      4                            500
KELLY SVCS INC                  COM    488152208       21,113     1,852   SH         DEFINED      2                          1,852
KEMET CORP                      COM    488360207      230,545    32,244   SH         SOLE         1     32,244
KEMPER CORP                     COM    488401100    2,640,128   110,189   SH         SOLE         1    110,189
KEMPER CORP DEL                 COM    488401100        4,576       191   SH         DEFINED      3                            191
KENEXA CORP                     COM    488879107      301,649    19,287   SH         SOLE         1     19,287
KENNAMETAL INC                  COM    489170100    5,846,709   178,580   SH         SOLE         1    178,580
KENNAMETAL INC                  COM    489170100      425,882    13,008   SH         DEFINED      3                         13,008
KENNEDY WILSON HOLDINGS IN      COM    489398107      184,154    17,373   SH         SOLE         1     17,373
KENNETH COLE PRODUCTIONS A      COM    193294105       59,133     5,511   SH         SOLE         1      5,511
KENSEY NASH CORP                COM    490057106      169,344     6,912   SH         SOLE         1      6,912
KERYX BIOPHARMACEUTICALS        COM    492515101      151,362    50,454   SH         SOLE         1     50,454
KERYX BIOPHARMACEUTICALS INC    COM    492515101       15,000     5,000   SH         DEFINED      3                          5,000
KEY ENERGY SERVICES INC         COM    492914106      864,795    91,127   SH         SOLE         1     91,127
KEYCORP                         COM    493267108    2,897,659   488,644   SH         SOLE         1    488,644
KEYCORP NEW                     COM    493267108        1,245       210   SH         DEFINED      4                            210
KEYCORP NEW                     COM    493267108        3,214       542   SH         DEFINED      3                            542
KEYCORP NEW                     COM    493267405       76,493       750   SH         DEFINED      3                            750
KEYNOTE SYSTEMS INC             COM    493308100      215,251    10,187   SH         SOLE         1     10,187
KEYW HOLDING CORP/THE           COM    493723100       95,693    13,459   SH         SOLE         1     13,459
KFORCE INC                      COM    493732101      241,493    24,617   SH         SOLE         1     24,617
KID BRANDS INC                  COM    49375T100        3,960     1,500   SH         SOLE         1      1,500
KILROY REALTY CORP              COM    49427F108    1,498,894    47,888   SH         SOLE         1     47,888
KIMBALL INTERNATIONAL B         COM    494274103      111,216    22,884   SH         SOLE         1     22,884
KIMBERLY CLARK CORP             COM    494368103   10,675,501   150,338   SH         SOLE         1    150,338
KIMBERLY CLARK CORP             COM    494368103      115,107     1,621   SH         DEFINED      4                          1,621
KIMBERLY CLARK CORP             COM    494368103    1,538,089    21,660   SH         DEFINED      3                         21,660
KIMBERLY CLARK CORP             COM    494368103      799,840    11,264   SH         DEFINED      2                         11,264
KIMCO REALTY CORP               COM    49446R109    2,025,668   134,775   SH         SOLE         1    134,775
KIMCO RLTY CORP                 COM    49446R109          736        49   SH         DEFINED      4                             49
KIMCO RLTY CORP                 COM    49446R109       13,317       886   SH         DEFINED      3                            886
KIMCO RLTY CORP                 COM    49446R109       43,041     2,864   SH         DEFINED      2                          2,864
KINDER MORGAN ENERGY PARTNER    COM    494550106    1,293,179    18,912   SH         DEFINED      4                         18,912
KINDER MORGAN ENERGY PARTNER    COM    494550106    2,736,902    40,025   SH         DEFINED      3                         40,025
KINDER MORGAN ENERGY PARTNER    COM    494550106    2,038,363    29,809   SH         DEFINED      2                         29,809
KINDER MORGAN INC DEL           COM    49456B101        5,178       200   SH         DEFINED      4                            200
KINDER MORGAN INC DEL           COM    49456B101        2,589       100   SH         DEFINED      3                            100
KINDER MORGAN INC DEL           COM    49456B101       18,796       726   SH         DEFINED      2                            726
KINDER MORGAN MANAGEMENT LLC    COM    49455U100      163,980     2,794   SH         DEFINED      4                          2,794
KINDER MORGAN MANAGEMENT LLC    COM    49455U100       73,304     1,249   SH         DEFINED      3                          1,249
KINDER MORGAN MANAGEMENT LLC    COM    49455U100          176         3   SH         DEFINED      2                              3
KINDRED HEALTHCARE INC          COM    494580103    1,301,249   150,957   SH         SOLE         1    150,957
KINETIC CONCEPTS INC            COM    49460W208    8,972,900   136,180   SH         SOLE         1    136,180
KINROSS GOLD CORP               COM    496902404          222        15   SH         DEFINED      4                             15
KINROSS GOLD CORP               COM    496902404      141,888     9,600   SH         DEFINED      3                          9,600
KINROSS GOLD CORP               COM    496902904        1,539         9   SH  C      DEFINED      3                              9
KINROSS GOLD CORP               COM    496902404       51,966     3,516   SH         DEFINED      2                          3,516
KIRBY CORP                      COM    497266106    6,398,760   121,557   SH         SOLE         1    121,557
KIRBY CORP                      COM    497266106        1,105        21   SH         DEFINED      3                             21
KIRKLAND S INC                  COM    497498105      126,032    13,744   SH         SOLE         1     13,744
KIRKLANDS INC                   COM    497498105        1,073       117   SH         DEFINED      4                            117
KIRKLANDS INC                   COM    497498105          229        25   SH         DEFINED      2                             25
KIT DIGITAL INC                 COM    482470200      217,098    25,845   SH         SOLE         1     25,845






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
KITE REALTY GROUP TRUST         COM    49803T102      169,513    46,315   SH         SOLE         1     46,315
KKR & CO L P DEL                COM    48248M102       72,280     6,950   SH         DEFINED      4                          6,950
KKR & CO L P DEL                COM    48248M102        7,280       700   SH         DEFINED      3                            700
KKR FINANCIAL HLDGS LLC         COM    48248A306        3,715       500   SH         DEFINED      3                            500
KKR FINANCIAL HLDGS LLC         COM    48248A306        1,560       210   SH         DEFINED      2                            210
KLA TENCOR CORPORATION          COM    482480100    3,846,757   100,490   SH         SOLE         1    100,490
KMG CHEMICALS INC               COM    482564101       64,544     5,239   SH         SOLE         1      5,239
KNIGHT CAPITAL GROUP INC A      COM    499005106    5,048,346   415,160   SH         SOLE         1    415,160
KNIGHT TRANSPORTATION INC       COM    499064103      663,410    49,843   SH         SOLE         1     49,843
KNIGHTSBRIDGE TANKERS LTD       COM    G5299G106      265,727    16,056   SH         SOLE         1     16,056
KNOLL INC                       COM    498904200      478,705    34,942   SH         SOLE         1     34,942
KNOLOGY INC                     COM    499183804      284,807    21,942   SH         SOLE         1     21,942
KODIAK OIL & GAS CORP           COM    50015Q100       31,260     6,000   SH         DEFINED      3                          6,000
KODIAK OIL & GAS CORP           COM    50015Q100      101,892    19,557   SH         DEFINED      2                         19,557
KODIAK OIL + GAS CORP           COM    50015Q100      796,380   152,856   SH         SOLE         1    152,856
KOHLBERG CAPITAL CORP           COM    500233101       81,672    13,961   SH         SOLE         1     13,961
KOHLBERG CAPITAL CORP           COM    500233101        7,196     1,230   SH         DEFINED      2                          1,230
KOHLS CORP                      COM    500255104    6,419,776   130,749   SH         SOLE         1    130,749
KOHLS CORP                      COM    500255104          737        15   SH         DEFINED      4                             15
KOHLS CORP                      COM    500255104       11,637       237   SH         DEFINED      3                            237
KONA GRILL INC                  COM    50047H201        4,440       800   SH         DEFINED      3                            800
KONINKLIJKE PHILIPS ELECTRS     COM    500472303          753        42   SH         DEFINED      4                             42
KOPIN CORP                      COM    500600101      182,226    53,127   SH         SOLE         1     53,127
KOPPERS HOLDINGS INC            COM    50060P106      432,246    16,878   SH         SOLE         1     16,878
KOPPERS HOLDINGS INC            COM    50060P106      345,146    13,477   SH         DEFINED      4                         13,477
KORN FERRY INTL                 COM    500643200      101,555     8,331   SH         DEFINED      3                          8,331
KORN/FERRY INTERNATIONAL        COM    500643200    1,662,777   136,405   SH         SOLE         1    136,405
KOSMOS ENERGY LTD               COM    G5315B107        6,370       544   SH         SOLE         1        544
KRAFT FOODS INC                 COM    50075N104      186,369     5,550   SH         DEFINED      4                          5,550
KRAFT FOODS INC                 COM    50075N104      923,148    27,491   SH         DEFINED      3                         27,491
KRAFT FOODS INC                 COM    50075N104      633,601    18,868   SH         DEFINED      2                         18,868
KRAFT FOODS INC CLASS A         COM    50075N104   53,782,769 1,601,631   SH         SOLE         1  1,601,631
KRATON PERFORMANCE POLYMER      COM    50077C106      422,961    26,141   SH         SOLE         1     26,141
KRATOS DEFENSE & SEC SOLUTIO    COM    50077B207          403        60   SH         DEFINED      3                             60
KRATOS DEFENSE + SECURITY       COM    50077B207      162,523    24,185   SH         SOLE         1     24,185
KRISPY KREME DOUGHNUTS INC      COM    501014104      291,309    42,714   SH         SOLE         1     42,714
KRISPY KREME DOUGHNUTS INC      COM    501014104          136        20   SH         DEFINED      3                             20
KRISPY KREME DOUGHNUTS INC      COM    501014104       31,031     4,550   SH         DEFINED      2                          4,550
KROGER CO                       COM    501044101    4,017,802   182,960   SH         SOLE         1    182,960
KROGER CO                       COM    501044101        8,059       367   SH         DEFINED      3                            367
KROGER CO                       COM    501044101       11,309       515   SH         DEFINED      2                            515
KRONOS WORLDWIDE INC            COM    50105F105        5,049       314   SH         SOLE         1        314
KRONOS WORLDWIDE INC            COM    50105F105        4,824       300   SH         DEFINED      2                            300
KUBOTA CORP                     COM    501173207        5,988       150   SH         DEFINED      2                            150
KULICKE + SOFFA INDUSTRIES      COM    501242101      440,461    59,043   SH         SOLE         1     59,043
KV PHARMACEUTICAL CO CL A       COM    482740206       50,776    37,612   SH         SOLE         1     37,612
KVH INDUSTRIES INC              COM    482738101       85,942    10,865   SH         SOLE         1     10,865
KYOCERA CORP                    COM    501556203       37,147       446   SH         DEFINED      2                            446
L & L ENERGY INC                COM    50162D100        1,350       500   SH         DEFINED      3                            500
L 3 COMMUNICATIONS HOLDING      COM    502424104    3,251,752    52,473   SH         SOLE         1     52,473
L+L ENERGY INC                  COM    50162D100       43,970    16,285   SH         SOLE         1     16,285
L-3 COMMUNICATIONS HLDGS INC    COM    502424104       13,943       225   SH         DEFINED      4                            225
L-3 COMMUNICATIONS HLDGS INC    COM    502424104       16,099       260   SH         DEFINED      3                            260
L-3 COMMUNICATIONS HLDGS INC    COM    502424104       30,241       488   SH         DEFINED      2                            488
LA Z BOY INC                    COM    505336107      314,955    42,504   SH         SOLE         1     42,504
LABORATORY CORP AMER HLDGS      COM    50540R409       15,336       194   SH         DEFINED      4                            194
LABORATORY CORP AMER HLDGS      COM    50540R409       14,545       184   SH         DEFINED      2                            184
LABORATORY CRP OF AMER HLD      COM    50540R409    2,517,426    31,846   SH         SOLE         1     31,846
LACLEDE GROUP INC               COM    505597104        2,558        66   SH         DEFINED      3                             66
LACLEDE GROUP INC/THE           COM    505597104      711,411    18,359   SH         SOLE         1     18,359
LADENBURG THALMANN FINANCI      COM    50575Q102      120,500    77,742   SH         SOLE         1     77,742
LAKELAND BANCORP INC            COM    511637100      123,791    15,830   SH         SOLE         1     15,830
LAKELAND FINANCIAL CORP         COM    511656100      244,470    11,833   SH         SOLE         1     11,833
LAM RESEARCH CORP               COM    512807108   10,507,015   276,646   SH         SOLE         1    276,646
LAM RESEARCH CORP               COM    512807108      777,375    20,468   SH         DEFINED      3                         20,468
LAMAR ADVERTISING CO A          COM    512815101    2,184,642   128,282   SH         SOLE         1    128,282
LANCASTER COLONY CORP           COM    513847103    3,475,618    56,968   SH         SOLE         1     56,968
LANCASTER COLONY CORP           COM    513847103       32,518       533   SH         DEFINED      2                            533
LANDAUER INC                    COM    51476K103      382,350     7,718   SH         SOLE         1      7,718
LANDAUER INC                    COM    51476K103        4,954       100   SH         DEFINED      4                            100
LANDAUER INC                    COM    51476K103       70,347     1,420   SH         DEFINED      2                          1,420
LANDEC CORP                     COM    514766104      102,527    19,272   SH         SOLE         1     19,272
LANDEC CORP                     COM    514766104       58,520    11,000   SH         DEFINED      2                         11,000
LANDSTAR SYSTEM INC             COM    515098101    4,116,495   104,057   SH         SOLE         1    104,057
LANNETT CO INC                  COM    516012101       45,424    11,860   SH         SOLE         1     11,860
LAS VEGAS SANDS CORP            COM    517834107    2,587,950    67,500   SH         SOLE         1     67,500
LAS VEGAS SANDS CORP            COM    517834107       26,838       700   SH         DEFINED      4                            700
LAS VEGAS SANDS CORP            COM    517834107      439,952    11,475   SH         DEFINED      3                         11,475
LAS VEGAS SANDS CORP            COM    517834107       95,850     2,500   SH         DEFINED      2                          2,500
LASALLE HOTEL PROPERTIES        COM    517942108    1,338,278    69,702   SH         SOLE         1     69,702
LATTICE SEMICONDUCTOR CORP      COM    518415104      451,689    86,036   SH         SOLE         1     86,036






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
LAUDER ESTEE COS INC            COM    518439104       49,103       559   SH         DEFINED      3                            559
LAWSON PRODUCTS INC             COM    520776105       38,978     2,883   SH         SOLE         1      2,883
LAYNE CHRISTENSEN COMPANY       COM    521050104      331,277    14,341   SH         SOLE         1     14,341
LAZARD GLB TTL RET&INCM FD I    COM    52106W103       47,227     3,681   SH         DEFINED      4                          3,681
LAZARD LTD                      COM    G54050102      127,128     6,025   SH         DEFINED      3                          6,025
LAZARD LTD                      COM    G54050102          717        34   SH         DEFINED      2                             34
LAZARD LTD CL A                 COM    G54050102       32,600     1,545   SH         SOLE         1      1,545
LCA VISION INC                  COM    501803308        3,580     1,673   SH         SOLE         1      1,673
LDK SOLAR CO LTD                COM    50183L107          624       200   SH         DEFINED      2                            200
LEAP WIRELESS INTL INC          COM    521863308      307,781    44,606   SH         SOLE         1     44,606
LEAP WIRELESS INTL INC          COM    521863308        3,455       500   SH         DEFINED      3                            500
LEAPFROG ENTERPRISES INC        COM    52186N106      101,996    30,266   SH         SOLE         1     30,266
LEAR CORP                       COM    521865204      136,379     3,179   SH         SOLE         1      3,179
LEAR CORP                       COM    521865204        4,290       100   SH         DEFINED      3                            100
LECROY CORP                     COM    52324W109       94,610    11,976   SH         SOLE         1     11,976
LEGACY RESERVES LP              COM    524707304       83,040     3,200   SH         DEFINED      4                          3,200
LEGACY RESERVES LP              COM    524707304      102,087     3,934   SH         DEFINED      3                          3,934
LEGACY RESERVES LP              COM    524707304       12,975       500   SH         DEFINED      2                            500
LEGG MASON INC                  COM    524901105    2,583,495   100,486   SH         SOLE         1    100,486
LEGG MASON INC                  COM    524901105       15,426       600   SH         DEFINED      2                            600
LEGGETT & PLATT INC             COM    524660107        1,088        55   SH         DEFINED      4                             55
LEGGETT & PLATT INC             COM    524660107        1,979       100   SH         DEFINED      3                            100
LEGGETT & PLATT INC             COM    524660107       46,405     2,345   SH         DEFINED      2                          2,345
LEGGETT + PLATT INC             COM    524660107      895,676    45,259   SH         SOLE         1     45,259
LENDER PROCESSING SERVICES      COM    52602E102    2,519,877   184,067   SH         SOLE         1    184,067
LENNAR CORP                     COM    526057104       69,823     5,157   SH         DEFINED      3                          5,157
LENNAR CORP A                   COM    526057104      716,239    52,898   SH         SOLE         1     52,898
LENNOX INTERNATIONAL INC        COM    526107107    2,986,175   115,833   SH         SOLE         1    115,833
LEUCADIA NATIONAL CORP          COM    527288104    1,488,375    65,625   SH         SOLE         1     65,625
LEUCADIA NATL CORP              COM    527288104       56,246     2,480   SH         DEFINED      4                          2,480
LEUCADIA NATL CORP              COM    527288104       24,154     1,065   SH         DEFINED      3                          1,065
LEVEL 3 COMMUNICATIONS INC      COM    52729N100       81,586    54,756   SH         SOLE         1     54,756
LEVEL 3 COMMUNICATIONS INC      COM    52729N100       16,098    10,804   SH         DEFINED      4                         10,804
LEVEL 3 COMMUNICATIONS INC      COM    52729N100        5,963     4,002   SH         DEFINED      3                          4,002
LEVEL 3 COMMUNICATIONS INC      COM    52729N100          119        80   SH         DEFINED      2                             80
LEXICON PHARMACEUTICALS IN      COM    528872104      114,568   124,544   SH         SOLE         1    124,544
LEXICON PHARMACEUTICALS INC     COM    528872104        1,840     2,000   SH         DEFINED      4                          2,000
LEXINGTON REALTY TRUST          COM    529043101      651,685    99,646   SH         SOLE         1     99,646
LEXINGTON REALTY TRUST          COM    529043101        5,003       765   SH         DEFINED      4                            765
LEXINGTON REALTY TRUST          COM    529043101       14,499     2,217   SH         DEFINED      3                          2,217
LEXMARK INTERNATIONAL INC       COM    529771107      716,863    26,521   SH         SOLE         1     26,521
LEXMARK INTL NEW                COM    529771107          405        15   SH         DEFINED      3                             15
LEXMARK INTL NEW                COM    529771107        2,703       100   SH         DEFINED      2                            100
LHC GROUP INC                   COM    50187A107      220,535    12,927   SH         SOLE         1     12,927
LIBBEY INC                      COM    529898108      152,682    14,486   SH         SOLE         1     14,486
LIBERTY ALL STAR EQUITY FD      COM    530158104        4,494     1,096   SH         DEFINED      4                          1,096
LIBERTY ALL STAR EQUITY FD      COM    530158104           86        21   SH         DEFINED      3                             21
LIBERTY ALL STAR EQUITY FD      COM    530158104        7,134     1,740   SH         DEFINED      2                          1,740
LIBERTY GLOBAL INC              COM    530555101          253         7   SH         DEFINED      4                              7
LIBERTY GLOBAL INC              COM    530555309          242         7   SH         DEFINED      4                              7
LIBERTY GLOBAL INC              COM    530555101        4,523       125   SH         DEFINED      3                            125
LIBERTY GLOBAL INC A            COM    530555101      151,377     4,184   SH         SOLE         1      4,184
LIBERTY INTERACTIVE CORP        COM    53071M104      705,711    47,780   SH         SOLE         1     47,780
LIBERTY MEDIA CORP              CNV    530715AR2          783         1   PRN        DEFINED      4                              1
LIBERTY MEDIA CORP              CNV    530715AG6       13,680        24   PRN        DEFINED      3                             24
LIBERTY MEDIA CORP              CNV    530715AR2          783         1   PRN        DEFINED      2                              1
LIBERTY MEDIA CORP   LIBER      COM    530322106      243,399     3,743   SH         SOLE         1      3,743
LIBERTY MEDIA CORP NEW          COM    53071M104          590        40   SH         DEFINED      4                             40
LIBERTY MEDIA CORP NEW          COM    53071M104          295        20   SH         DEFINED      3                             20
LIBERTY MEDIA CORP NEW          CNV    530718AF2        2,148         2   PRN        DEFINED      2                              2
LIBERTY PPTY TR                 COM    531172104        4,832       166   SH         DEFINED      3                            166
LIBERTY PPTY TR                 COM    531172104       28,091       965   SH         DEFINED      2                            965
LIBERTY PROPERTY TRUST          COM    531172104    7,401,159   254,248   SH         SOLE         1    254,248
LIFE PARTNERS HOLDINGS INC      COM    53215T106        4,538       750   SH         DEFINED      2                            750
LIFE TECHNOLOGIES CORP          COM    53217V109    2,638,143    68,648   SH         SOLE         1     68,648
LIFE TECHNOLOGIES CORP          COM    53217V109        1,922        50   SH         DEFINED      3                             50
LIFE TIME FITNESS INC           COM    53217R207    4,517,405   122,589   SH         SOLE         1    122,589
LIFEPOINT HOSPITALS INC         COM    53219L109    4,182,786   114,159   SH         SOLE         1    114,159
LIFEPOINT HOSPITALS INC         COM    53219L109        1,466        40   SH         DEFINED      2                             40
LIFETIME BRANDS INC             COM    53222Q103       65,330     6,777   SH         SOLE         1      6,777
LIFEWAY FOODS INC               COM    531914109       35,745     3,350   SH         SOLE         1      3,350
LIFEWAY FOODS INC               COM    531914109        2,134       200   SH         DEFINED      3                            200
LIFEWAY FOODS INC               COM    531914109       60,584     5,678   SH         DEFINED      2                          5,678
LIGAND PHARMACEUTICALS CL       COM    53220K504      196,212    14,343   SH         SOLE         1     14,343
LIGAND PHARMACEUTICALS INC      COM    53220K504          150        11   SH         DEFINED      2                             11
LILLY ELI & CO                  COM    532457108    1,926,641    52,114   SH         DEFINED      4                         52,114
LILLY ELI & CO                  COM    532457108      469,075    12,688   SH         DEFINED      3                         12,688
LILLY ELI & CO                  COM    532457108      171,763     4,646   SH         DEFINED      2                          4,646
LIMELIGHT NETWORKS INC          COM    53261M104      116,969    49,563   SH         SOLE         1     49,563
LIMELIGHT NETWORKS INC          COM    53261M104        2,360     1,000   SH         DEFINED      4                          1,000
LIMELIGHT NETWORKS INC          COM    53261M104        1,062       450   SH         DEFINED      3                            450






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
LIMELIGHT NETWORKS INC          COM    53261M104        2,360     1,000   SH         DEFINED      2                          1,000
LIMITED BRANDS INC              COM    532716107    4,379,088   113,713   SH         SOLE         1    113,713
LIMITED BRANDS INC              COM    532716107       70,858     1,840   SH         DEFINED      3                          1,840
LIMITED BRANDS INC              COM    532716107        7,702       200   SH         DEFINED      2                            200
LIMONEIRA CO                    COM    532746104       81,567     5,712   SH         SOLE         1      5,712
LIMONEIRA CO                    COM    532746104        1,571       110   SH         DEFINED      3                            110
LIN TV CORP CL A                COM    532774106       47,206    21,654   SH         SOLE         1     21,654
LINCARE HOLDINGS INC            COM    532791100   32,207,918 1,431,463   SH         SOLE         1  1,431,463
LINCOLN EDUCATIONAL SERVIC      COM    533535100      149,681    18,502   SH         SOLE         1     18,502
LINCOLN ELECTRIC HOLDINGS       COM    533900106    5,340,973   184,108   SH         SOLE         1    184,108
LINCOLN NATIONAL CORP           COM    534187109    3,644,119   233,149   SH         SOLE         1    233,149
LINCOLN NATL CORP IND           COM    534187109       30,282     1,937   SH         DEFINED      3                          1,937
LINCOLN NATL CORP IND           COM    534187109      133,028     8,511   SH         DEFINED      2                          8,511
LINDSAY CORP                    COM    535555106      553,548    10,289   SH         SOLE         1     10,289
LINDSAY CORP                    COM    535555106       18,830       350   SH         DEFINED      3                            350
LINEAR TECHNOLOGY CORP          COM    535678106    2,309,743    83,535   SH         SOLE         1     83,535
LINEAR TECHNOLOGY CORP          COM    535678106        2,627        95   SH         DEFINED      4                             95
LINEAR TECHNOLOGY CORP          COM    535678106        2,571        93   SH         DEFINED      3                             93
LINEAR TECHNOLOGY CORP          COM    535678106        2,765       100   SH         DEFINED      2                            100
LINKEDIN CORP                   COM    53578A108        3,123        40   SH         DEFINED      2                             40
LINKEDIN CORP   A               COM    53578A108       10,072       129   SH         SOLE         1        129
LINN ENERGY LLC                 COM    536020100      439,788    12,333   SH         DEFINED      4                         12,333
LINN ENERGY LLC                 COM    536020100      476,261    13,356   SH         DEFINED      3                         13,356
LINN ENERGY LLC                 COM    536020100      306,141     8,585   SH         DEFINED      2                          8,585
LIONBRIDGE TECHNOLOGIES IN      COM    536252109      110,668    44,987   SH         SOLE         1     44,987
LIONS GATE ENTERTAINMENT W      COM    535919203      227,155    32,921   SH         SOLE         1     32,921
LIQUIDITY SERVICES INC          COM    53635B107      497,213    15,504   SH         SOLE         1     15,504
LITHIA MOTORS INC CL A          COM    536797103      259,861    18,071   SH         SOLE         1     18,071
LITTELFUSE INC                  COM    537008104      749,715    18,645   SH         SOLE         1     18,645
LIVE NATION ENTERTAINMENT       COM    538034109      930,570   116,176   SH         SOLE         1    116,176
LIVE NATION ENTERTAINMENT IN    COM    538034109           88        11   SH         DEFINED      4                             11
LIVE NATION ENTERTAINMENT IN    COM    538034109        2,075       259   SH         DEFINED      2                            259
LIVEPERSON INC                  COM    538146101    4,116,186   413,687   SH         SOLE         1    413,687
LIZ CLAIBORNE INC               COM    539320101      387,445    77,489   SH         SOLE         1     77,489
LKQ CORP                        COM    501889208    7,725,377   319,759   SH         SOLE         1    319,759
LKQ CORP                        COM    501889208          242        10   SH         DEFINED      3                             10
LLOYDS BANKING GROUP PLC        COM    539439109          428       205   SH         DEFINED      4                            205
LLOYDS BANKING GROUP PLC        COM    539439109          428       205   SH         DEFINED      3                            205
LLOYDS BANKING GROUP PLC        COM    539439109          924       442   SH         DEFINED      2                            442
LMI AEROSPACE INC               COM    502079106      114,029     6,684   SH         SOLE         1      6,684
LMI AEROSPACE INC               COM    502079106        1,024        60   SH         DEFINED      2                             60
LMP CAP & INCOME FD INC         COM    50208A102       11,989     1,047   SH         DEFINED      3                          1,047
LMP CAP & INCOME FD INC         COM    50208A102        2,185       191   SH         DEFINED      2                            191
LOCKHEED MARTIN CORP            COM    539830109   38,456,415   529,411   SH         SOLE         1    529,411
LOCKHEED MARTIN CORP            COM    539830109       31,962       440   SH         DEFINED      4                            440
LOCKHEED MARTIN CORP            COM    539830109      183,852     2,531   SH         DEFINED      3                          2,531
LOCKHEED MARTIN CORP            COM    539830109        6,320        87   SH         DEFINED      2                             87
LOEWS CORP                      COM    540424108    5,360,191   155,143   SH         SOLE         1    155,143
LOEWS CORP                      COM    540424108      188,876     5,467   SH         DEFINED      3                          5,467
LOGITECH INTL S A               COM    H50430232       55,256     7,075   SH         DEFINED      3                          7,075
LOGMEIN INC                     COM    54142L109      556,234    16,749   SH         SOLE         1     16,749
LOJACK CORPORATION              COM    539451104        5,196     1,639   SH         SOLE         1      1,639
LOOPNET INC                     COM    543524300      207,496    12,113   SH         SOLE         1     12,113
LORAL SPACE + COMMUNICATIO      COM    543881106      399,898     7,982   SH         SOLE         1      7,982
LORILLARD INC                   COM    544147101   45,072,612   407,160   SH         SOLE         1    407,160
LORILLARD INC                   COM    544147101       15,498       140   SH         DEFINED      3                            140
LORILLARD INC                   COM    544147101       19,815       179   SH         DEFINED      2                            179
LOUISIANA PACIFIC CORP          COM    546347105    1,952,897   382,921   SH         SOLE         1    382,921
LOWE S COS INC                  COM    548661107   20,050,300 1,036,727   SH         SOLE         1  1,036,727
LOWES COS INC                   COM    548661107       53,372     2,760   SH         DEFINED      4                          2,760
LOWES COS INC                   COM    548661107      212,567    10,991   SH         DEFINED      3                         10,991
LOWES COS INC                   COM    548661107      217,981    11,271   SH         DEFINED      2                         11,271
LPL INVESTMENT HOLDINGS IN      COM    50213H100       14,413       567   SH         SOLE         1        567
LRAD CORP                       COM    50213V109        9,250     5,000   SH         DEFINED      3                          5,000
LSB INDS INC                    COM    502160104        9,146       319   SH         DEFINED      3                            319
LSB INDUSTRIES INC              COM    502160104      431,570    15,053   SH         SOLE         1     15,053
LSI CORP                        COM    502161102    1,135,606   219,229   SH         SOLE         1    219,229
LSI CORPORATION                 COM    502161102          461        89   SH         DEFINED      4                             89
LSI CORPORATION                 COM    502161102        3,647       704   SH         DEFINED      3                            704
LSI CORPORATION                 COM    502161102          435        84   SH         DEFINED      2                             84
LSI INDUSTRIES INC              COM    50216C108       88,628    14,226   SH         SOLE         1     14,226
LTC PPTYS INC                   COM    502175102        8,862       350   SH         DEFINED      4                            350
LTC PPTYS INC                   COM    502175102       12,660       500   SH         DEFINED      2                            500
LTC PROPERTIES INC              COM    502175102      629,227    24,851   SH         SOLE         1     24,851
LTX CREDENCE CORP               COM    502403207      191,112    36,127   SH         SOLE         1     36,127
LUBY S INC                      COM    549282101       56,318    13,736   SH         SOLE         1     13,736
LUFKIN INDS INC                 COM    549764108        5,321       100   SH         DEFINED      3                            100
LUFKIN INDUSTRIES INC           COM    549764108    3,983,035    74,855   SH         SOLE         1     74,855
LULULEMON ATHLETICA INC         COM    550021109       14,607       300   SH         DEFINED      4                            300
LULULEMON ATHLETICA INC         COM    550021109       90,320     1,855   SH         DEFINED      3                          1,855
LULULEMON ATHLETICA INC         COM    550021109       14,266       293   SH         DEFINED      2                            293






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
LUMBER LIQUIDATORS HOLDING      COM    55003T107      292,321    19,359   SH         SOLE         1     19,359
LUMINEX CORP                    COM    55027E102      612,003    27,605   SH         SOLE         1     27,605
LYDALL INC                      COM    550819106      125,072    14,053   SH         SOLE         1     14,053
LYONDELLBASELL INDUSTRIES N     COM    N53745100      127,036     5,200   SH         DEFINED      4                          5,200
M & F WORLDWIDE CORP            COM    552541104        1,034        42   SH         DEFINED      4                             42
M & T BK CORP                   COM    55261F104       24,255       347   SH         DEFINED      3                            347
M + F WORLDWIDE CORP            COM    552541104      190,510     7,738   SH         SOLE         1      7,738
M + T BANK CORP                 COM    55261F104    2,920,282    41,778   SH         SOLE         1     41,778
M D C HLDGS INC                 COM    552676108        5,150       304   SH         DEFINED      4                            304
M/I HOMES INC                   COM    55305B101       92,121    15,328   SH         SOLE         1     15,328
MAC GRAY CORP                   COM    554153106      112,136     8,686   SH         SOLE         1      8,686
MACERICH CO/THE                 COM    554382101   12,325,100   289,118   SH         SOLE         1    289,118
MAC-GRAY CORP                   COM    554153106        6,455       500   SH         DEFINED      3                            500
MACK CALI REALTY CORP           COM    554489104    5,122,518   191,496   SH         SOLE         1    191,496
MACKINAC FINL CORP              COM    554571109       15,446     2,829   SH         DEFINED      3                          2,829
MACQUARIE FT TR GB INF UT DI    COM    55607W100       13,530     1,000   SH         DEFINED      2                          1,000
MACY S INC                      COM    55616P104    5,023,067   190,846   SH         SOLE         1    190,846
MACYS INC                       COM    55616P104       23,583       896   SH         DEFINED      3                            896
MACYS INC                       COM    55616P104       31,426     1,194   SH         DEFINED      2                          1,194
MADDEN STEVEN LTD               COM    556269108          181         6   SH         DEFINED      3                              6
MADISON CLAYMORE CALL &EQTY     COM    556582104        4,630       651   SH         DEFINED      4                            651
MADISON CLAYMORE CALL &EQTY     COM    556582104        8,774     1,234   SH         DEFINED      3                          1,234
MADISON SQUARE GARDEN CO        COM    55826P100          524        23   SH         DEFINED      4                             23
MADISON SQUARE GARDEN CO A      COM    55826P100       38,167     1,674   SH         SOLE         1      1,674
MADISON STRTG SECTOR PREM FD    COM    558268108        1,427       138   SH         DEFINED      4                            138
MADISON STRTG SECTOR PREM FD    COM    558268108       82,720     8,000   SH         DEFINED      3                          8,000
MAG SILVER CORP                 COM    55903Q104       27,440     3,500   SH         DEFINED      3                          3,500
MAGELLAN HEALTH SERVICES I      COM    559079207    1,262,804    26,145   SH         SOLE         1     26,145
MAGELLAN MIDSTREAM PRTNRS LP    COM    559080106      102,136     1,691   SH         DEFINED      4                          1,691
MAGELLAN MIDSTREAM PRTNRS LP    COM    559080106      332,140     5,499   SH         DEFINED      3                          5,499
MAGELLAN MIDSTREAM PRTNRS LP    COM    559080106        4,530        75   SH         DEFINED      2                             75
MAGIC SOFTWARE ENTERPRISES L    COM    559166103        3,083       750   SH         DEFINED      2                            750
MAGICJACK VOCALTEC LTD          COM    M6787E101        9,280       400   SH         DEFINED      2                            400
MAGMA DESIGN AUTOMATION IN      COM    559181102      221,917    48,773   SH         SOLE         1     48,773
MAGNA INTL INC                  COM    559222401      197,820     6,000   SH         DEFINED      3                          6,000
MAGNUM HUNTER RES CORP DEL      COM    55973B102        3,452     1,043   SH         DEFINED      2                          1,043
MAGNUM HUNTER RESOURCES CO      COM    55973B102      269,235    81,340   SH         SOLE         1     81,340
MAIDEN HOLDINGS LTD             COM    G5753U112      272,831    36,919   SH         SOLE         1     36,919
MAIDENFORM BRANDS INC           COM    560305104      449,027    19,181   SH         SOLE         1     19,181
MAIN STREET CAPITAL CORP        COM    56035L104      260,894    14,690   SH         SOLE         1     14,690
MAIN STREET CAPITAL CORP        COM    56035L104      179,376    10,100   SH         DEFINED      4                         10,100
MAINSOURCE FINANCIAL GROUP      COM    56062Y102      128,245    14,707   SH         SOLE         1     14,707
MAKO SURGICAL CORP              COM    560879108      799,516    23,364   SH         SOLE         1     23,364
MAKO SURGICAL CORP              COM    560879108       41,201     1,204   SH         DEFINED      2                          1,204
MANHATTAN ASSOCIATES INC        COM    562750109      587,335    17,755   SH         SOLE         1     17,755
MANITOWOC COMPANY INC           COM    563571108       12,132     1,808   SH         SOLE         1      1,808
MANITOWOC INC                   COM    563571108      124,269    18,520   SH         DEFINED      3                         18,520
MANITOWOC INC                   COM    563571108        3,355       500   SH         DEFINED      2                            500
MANNKIND CORP                   COM    56400P201      213,798    56,411   SH         SOLE         1     56,411
MANPOWER INC                    COM    56418H100    6,056,475   180,145   SH         SOLE         1    180,145
MANTECH INTERNATIONAL CORP      COM    564563104    2,109,395    67,221   SH         SOLE         1     67,221
MANTECH INTL CORP               COM    564563104        5,178       165   SH         DEFINED      4                            165
MANTECH INTL CORP               COM    564563104      263,655     8,402   SH         DEFINED      2                          8,402
MANULIFE FINL CORP              COM    56501R106        2,719       240   SH         DEFINED      4                            240
MANULIFE FINL CORP              COM    56501R106        9,721       858   SH         DEFINED      2                            858
MAP PHARMACEUTICALS INC         COM    56509R108      233,423    15,966   SH         SOLE         1     15,966
MARATHON OIL CORP               COM    565849106    4,660,201   215,950   SH         SOLE         1    215,950
MARATHON OIL CORP               COM    565849106       49,095     2,275   SH         DEFINED      4                          2,275
MARATHON OIL CORP               COM    565849106       65,291     3,026   SH         DEFINED      3                          3,026
MARATHON OIL CORP               COM    565849106       32,370     1,500   SH         DEFINED      2                          1,500
MARATHON PETE CORP              COM    56585A102       23,705       876   SH         DEFINED      4                            876
MARATHON PETE CORP              COM    56585A102       38,128     1,409   SH         DEFINED      3                          1,409
MARATHON PETE CORP              COM    56585A102       20,295       750   SH         DEFINED      2                            750
MARATHON PETROLEUM CORP         COM    56585A102    7,577,152   280,013   SH         SOLE         1    280,013
MARCHEX INC CLASS B             COM    56624R108      132,634    15,604   SH         SOLE         1     15,604
MARCUS CORPORATION              COM    566330106      166,066    16,690   SH         SOLE         1     16,690
MARINA BIOTECH INC              COM    56804Q102           89       625   SH         DEFINED      3                            625
MARINE PRODUCTS CORP            COM    568427108       25,506     7,458   SH         SOLE         1      7,458
MARINEMAX INC                   COM    567908108      123,156    19,035   SH         SOLE         1     19,035
MARKEL CORP                     COM    570535104      105,353       295   SH         SOLE         1        295
MARKEL CORP                     COM    570535104        2,143         6   SH         DEFINED      2                              6
MARKET VECTORS ETF TR           COM    57060U100      229,370     4,156   SH         DEFINED      4                          4,156
MARKET VECTORS ETF TR           COM    57060U472        3,840       250   SH         DEFINED      4                            250
MARKET VECTORS ETF TR           COM    57060U589       48,137     1,710   SH         DEFINED      4                          1,710
MARKET VECTORS ETF TR           COM    57060U605      409,172     9,465   SH         DEFINED      4                          9,465
MARKET VECTORS ETF TR           COM    57060U613       15,602       398   SH         DEFINED      4                            398
MARKET VECTORS ETF TR           COM    57060U795       55,980     1,800   SH         DEFINED      4                          1,800
MARKET VECTORS ETF TR           COM    57060U761        4,313       250   SH         DEFINED      4                            250
MARKET VECTORS ETF TR           COM    57060U902          100        10   SH  C      DEFINED      4                             10
MARKET VECTORS ETF TR           COM    57060U959       10,600        20   SH  P      DEFINED      4                             20
MARKET VECTORS ETF TR           COM    57060U100      449,809     8,150   SH         DEFINED      3                          8,150






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
MARKET VECTORS ETF TR           COM    57060U308        8,648       200   SH         DEFINED      3                            200
MARKET VECTORS ETF TR           COM    57060U407        1,224       100   SH         DEFINED      3                            100
MARKET VECTORS ETF TR           COM    57060U472      239,002    15,560   SH         DEFINED      3                         15,560
MARKET VECTORS ETF TR           COM    57060U506        2,530       100   SH         DEFINED      3                            100
MARKET VECTORS ETF TR           COM    57060U589       59,115     2,100   SH         DEFINED      3                          2,100
MARKET VECTORS ETF TR           COM    57060U605      204,175     4,723   SH         DEFINED      3                          4,723
MARKET VECTORS ETF TR           COM    57060U837       48,576     1,600   SH         DEFINED      3                          1,600
MARKET VECTORS ETF TR           COM    57060U753           76         3   SH         DEFINED      3                              3
MARKET VECTORS ETF TR           COM    57060U100      517,161     9,371   SH         DEFINED      2                          9,371
MARKET VECTORS ETF TR           COM    57060U308       15,134       350   SH         DEFINED      2                            350
MARKET VECTORS ETF TR           COM    57060U407        2,448       200   SH         DEFINED      2                            200
MARKET VECTORS ETF TR           COM    57060U472        5,837       380   SH         DEFINED      2                            380
MARKET VECTORS ETF TR           COM    57060U589       73,640     2,616   SH         DEFINED      2                          2,616
MARKET VECTORS ETF TR           COM    57060U605       93,593     2,165   SH         DEFINED      2                          2,165
MARKET VECTORS ETF TR           COM    57060U837        1,761        58   SH         DEFINED      2                             58
MARKET VECTORS ETF TR           COM    57060U522        2,459       100   SH         DEFINED      2                            100
MARKET VECTORS ETF TR           COM    57060U753          329        13   SH         DEFINED      2                             13
MARKET VECTORS ETF TR           COM    57060U845       27,972     1,246   SH         DEFINED      2                          1,246
MARKET VECTORS ETF TR           COM    57060U878      240,769     7,994   SH         DEFINED      2                          7,994
MARKETAXESS HOLDINGS INC        COM    57060D108      545,379    20,960   SH         SOLE         1     20,960
MARKWEST ENERGY PARTNERS L P    COM    570759100      218,722     4,760   SH         DEFINED      4                          4,760
MARKWEST ENERGY PARTNERS L P    COM    570759100      225,155     4,900   SH         DEFINED      3                          4,900
MARKWEST ENERGY PARTNERS L P    COM    570759100       22,111       481   SH         DEFINED      2                            481
MARLIN BUSINESS SERVICES I      COM    571157106       67,003     6,321   SH         SOLE         1      6,321
MARRIOTT INTERNATIONAL CL       COM    571903202    3,787,177   139,030   SH         SOLE         1    139,030
MARRIOTT INTL INC NEW           COM    571903202           82         3   SH         DEFINED      3                              3
MARSH & MCLENNAN COS INC        COM    571748102       18,204       686   SH         DEFINED      3                            686
MARSH + MCLENNAN COS            COM    571748102    6,753,262   254,456   SH         SOLE         1    254,456
MARTEN TRANSPORT LTD            COM    573075108      195,708    11,352   SH         SOLE         1     11,352
MARTHA STEWART LIVING  CL       COM    573083102       62,013    19,876   SH         SOLE         1     19,876
MARTHA STEWART LIVING OMNIME    COM    573083102          312       100   SH         DEFINED      2                            100
MARTIN MARIETTA MATERIALS       COM    573284106    6,319,598    99,962   SH         SOLE         1     99,962
MARTIN MARIETTA MATLS INC       COM    573284106       18,966       300   SH         DEFINED      3                            300
MARTIN MIDSTREAM PRTNRS L P     COM    573331105       79,601     2,450   SH         DEFINED      4                          2,450
MARTIN MIDSTREAM PRTNRS L P     COM    573331105       15,433       475   SH         DEFINED      3                            475
MARTIN MIDSTREAM PRTNRS L P     COM    573331105       13,711       422   SH         DEFINED      2                            422
MARVELL TECHNOLOGY GROUP L      COM    G5876H105    1,013,569    69,757   SH         SOLE         1     69,757
MARVELL TECHNOLOGY GROUP LTD    COM    G5876H105      145,266    10,008   SH         DEFINED      3                         10,008
MARVELL TECHNOLOGY GROUP LTD    COM    G5876H105       25,038     1,725   SH         DEFINED      2                          1,725
MASCO CORP                      COM    574599106      805,899   113,188   SH         SOLE         1    113,188
MASCO CORP                      COM    574599106          562        79   SH         DEFINED      4                             79
MASCO CORP                      COM    574599106        7,120     1,000   SH         DEFINED      3                          1,000
MASIMO CORPORATION              COM    574795100    3,642,959   168,266   SH         SOLE         1    168,266
MASSMUTUAL CORPORATE INVS IN    COM    576292106       39,100     2,300   SH         DEFINED      2                          2,300
MASTEC INC                      COM    576323109   16,858,458   957,323   SH         SOLE         1    957,323
MASTECH HOLDINGS INC            COM    57633B100          132        46   SH         DEFINED      3                             46
MASTERCARD INC                  COM    57636Q104       22,201        70   SH         DEFINED      4                             70
MASTERCARD INC                  COM    57636Q104      232,534       733   SH         DEFINED      3                            733
MASTERCARD INC                  COM    57636Q104      157,002       495   SH         DEFINED      2                            495
MASTERCARD INC CLASS A          COM    57636Q104   14,723,519    46,423   SH         SOLE         1     46,423
MATERION CORP                   COM    576690101      379,210    16,720   SH         SOLE         1     16,720
MATERION CORP                   COM    576690101       15,876       700   SH         DEFINED      4                            700
MATRIX SERVICE CO               COM    576853105      184,361    21,664   SH         SOLE         1     21,664
MATTEL INC                      COM    577081102    3,926,322   151,654   SH         SOLE         1    151,654
MATTEL INC                      COM    577081102        1,709        66   SH         DEFINED      4                             66
MATTEL INC                      COM    577081102        1,315        51   SH         DEFINED      3                             51
MATTHEWS INTL CORP              COM    577128101       46,095     1,500   SH         DEFINED      2                          1,500
MATTHEWS INTL CORP CLASS A      COM    577128101    2,613,247    84,956   SH         SOLE         1     84,956
MAXIM INTEGRATED PRODS INC      COM    57772K101          350        15   SH         DEFINED      4                             15
MAXIM INTEGRATED PRODS INC      COM    57772K101        1,167        50   SH         DEFINED      3                             50
MAXIM INTEGRATED PRODS INC      COM    57772K101       42,488     1,821   SH         DEFINED      2                          1,821
MAXIM INTEGRATED PRODUCTS       COM    57772K101      458,784    19,665   SH         SOLE         1     19,665
MAXIMUS INC                     COM    577933104      991,614    28,413   SH         SOLE         1     28,413
MAXLINEAR INC                   COM    57776J100       18,088     2,800   SH         DEFINED      3                          2,800
MAXLINEAR INC CLASS A           COM    57776J100       75,472    11,683   SH         SOLE         1     11,683
MAXWELL TECHNOLOGIES INC        COM    577767106      375,822    20,414   SH         SOLE         1     20,414
MAXWELL TECHNOLOGIES INC        COM    577767106        9,205       500   SH         DEFINED      3                            500
MAXYGEN INC                     COM    577776107      120,657    22,058   SH         SOLE         1     22,058
MB FINANCIAL INC                COM    55264U108      585,164    39,753   SH         SOLE         1     39,753
MBIA INC                        COM    55262C100       29,865     4,108   SH         SOLE         1      4,108
MBIA INC                        COM    55262C100       59,381     8,168   SH         DEFINED      2                          8,168
MCCLATCHY CO CLASS A            COM    579489105       56,481    42,150   SH         SOLE         1     42,150
MCCORMICK & CO INC              COM    579780206       13,848       300   SH         DEFINED      4                            300
MCCORMICK & CO INC              COM    579780206       67,929     1,472   SH         DEFINED      3                          1,472
MCCORMICK & CO INC              COM    579780107        1,518        33   SH         DEFINED      2                             33
MCCORMICK & CO INC              COM    579780206        6,370       138   SH         DEFINED      2                            138
MCCORMICK + CO NON VTG SHR      COM    579780206    1,955,845    42,371   SH         SOLE         1     42,371
MCCORMICK + SCHMICK S SEAF      COM    579793100       67,567     9,764   SH         SOLE         1      9,764
MCDERMOTT INTL INC              COM    580037109      419,909    39,025   SH         SOLE         1     39,025
MCDERMOTT INTL INC              COM    580037109       10,760     1,000   SH         DEFINED      2                          1,000
MCDONALD S CORP                 COM    580135101   76,767,414   874,145   SH         SOLE         1    874,145






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
MCDONALDS CORP                  COM    580135101      577,630     6,577   SH         DEFINED      4                          6,577
MCDONALDS CORP                  COM    580135101    2,304,415    26,240   SH         DEFINED      3                         26,240
MCDONALDS CORP                  COM    580135101    1,678,173    19,109   SH         DEFINED      2                         19,109
MCG CAPITAL CORP                COM    58047P107      222,885    56,284   SH         SOLE         1     56,284
MCG CAPITAL CORP                COM    58047P107        7,920     2,000   SH         DEFINED      3                          2,000
MCG CAPITAL CORP                COM    58047P107        1,228       310   SH         DEFINED      2                            310
MCGRATH RENTCORP                COM    580589109      422,249    17,749   SH         SOLE         1     17,749
MCGRAW HILL COMPANIES INC       COM    580645109   38,761,154   945,394   SH         SOLE         1    945,394
MCKESSON CORP                   COM    58155Q103    6,500,761    89,419   SH         SOLE         1     89,419
MCKESSON CORP                   COM    58155Q103       30,898       425   SH         DEFINED      4                            425
MCKESSON CORP                   COM    58155Q103       54,162       745   SH         DEFINED      3                            745
MCKESSON CORP                   COM    58155Q103       14,904       205   SH         DEFINED      2                            205
MCMORAN EXPLORATION CO          COM    582411104      712,428    71,745   SH         SOLE         1     71,745
MCMORAN EXPLORATION CO          COM    582411104          993       100   SH         DEFINED      4                            100
MCMORAN EXPLORATION CO          COM    582411104       34,755     3,500   SH         DEFINED      3                          3,500
MCMORAN EXPLORATION CO          COM    582411104      188,670    19,000   SH         DEFINED      2                         19,000
MDC HOLDINGS INC                COM    552676108    1,842,970   108,794   SH         SOLE         1    108,794
MDC PARTNERS INC CL A           COM    552697104      264,030    18,310   SH         SOLE         1     18,310
MDU RES GROUP INC               COM    552690109       51,045     2,660   SH         DEFINED      3                          2,660
MDU RES GROUP INC               COM    552690109       12,474       650   SH         DEFINED      2                            650
MDU RESOURCES GROUP INC         COM    552690109    7,964,023   415,009   SH         SOLE         1    415,009
MEAD JOHNSON NUTRITION CO       COM    582839106    5,956,066    86,533   SH         SOLE         1     86,533
MEAD JOHNSON NUTRITION CO       COM    582839106       15,624       227   SH         DEFINED      2                            227
MEADOWBROOK INSURANCE GROU      COM    58319P108      388,538    43,607   SH         SOLE         1     43,607
MEADWESTVACO CORP               COM    583334107    1,393,805    56,751   SH         SOLE         1     56,751
MEADWESTVACO CORP               COM    583334107        2,702       110   SH         DEFINED      2                            110
MEASUREMENT SPECIALTIES IN      COM    583421102      283,587    10,924   SH         SOLE         1     10,924
MECHEL OAO                      COM    583840103        7,673       753   SH         DEFINED      4                            753
MEDALLION FINANCIAL CORP        COM    583928106       99,910    10,743   SH         SOLE         1     10,743
MEDALLION FINL CORP             COM    583928106      112,679    12,116   SH         DEFINED      4                         12,116
MEDASSETS INC                   COM    584045108      334,476    34,805   SH         SOLE         1     34,805
MEDCATH CORPORATION             COM    58404W109      231,269    16,662   SH         SOLE         1     16,662
MEDCO HEALTH SOLUTIONS INC      COM    58405U102    6,379,244   136,047   SH         SOLE         1    136,047
MEDCO HEALTH SOLUTIONS INC      COM    58405U102       68,084     1,452   SH         DEFINED      4                          1,452
MEDCO HEALTH SOLUTIONS INC      COM    58405U102       24,945       532   SH         DEFINED      3                            532
MEDCO HEALTH SOLUTIONS INC      COM    58405U102       19,694       420   SH         DEFINED      2                            420
MEDIA GEN INC                   COM    584404107        9,550     5,000   SH         DEFINED      2                          5,000
MEDICAL ACTION IND INC          COM    58449L100       60,428    11,966   SH         SOLE         1     11,966
MEDICAL PPTYS TRUST INC         COM    58463J304       21,529     2,405   SH         DEFINED      4                          2,405
MEDICAL PPTYS TRUST INC         COM    58463J304       25,194     2,815   SH         DEFINED      3                          2,815
MEDICAL PROPERTIES TRUST I      COM    58463J304      819,077    91,517   SH         SOLE         1     91,517
MEDICINES CO                    COM    584688105       46,470     3,123   SH         DEFINED      3                          3,123
MEDICINES COMPANY               COM    584688105      657,056    44,157   SH         SOLE         1     44,157
MEDICIS PHARMACEUTICAL CL       COM    584690309    6,653,660   182,392   SH         SOLE         1    182,392
MEDIDATA SOLUTIONS INC          COM    58471A105      252,617    15,366   SH         SOLE         1     15,366
MEDIFAST INC                    COM    58470H101      182,253    11,285   SH         SOLE         1     11,285
MEDIFAST INC                    COM    58470H101       98,515     6,100   SH         DEFINED      3                          6,100
MEDIVATION INC                  COM    58501N101      388,689    22,891   SH         SOLE         1     22,891
MEDIVATION INC                  COM    58501N101        8,490       500   SH         DEFINED      2                            500
MEDLEY CAPITAL CORP             COM    58503F106       81,860     8,121   SH         SOLE         1      8,121
MEDNAX INC                      COM    58502B106    6,669,657   106,476   SH         SOLE         1    106,476
MEDQUIST HOLDINGS INC           COM    58506K102      174,568    23,091   SH         SOLE         1     23,091
MEDTOX SCIENTIFIC INC           COM    584977201       72,388     5,530   SH         SOLE         1      5,530
MEDTOX SCIENTIFIC INC           COM    584977201        7,553       577   SH         DEFINED      2                            577
MEDTRONIC INC                   COM    585055106   13,397,050   403,040   SH         SOLE         1    403,040
MEDTRONIC INC                   COM    585055106      190,066     5,718   SH         DEFINED      4                          5,718
MEDTRONIC INC                   COM    585055106      305,349     9,186   SH         DEFINED      3                          9,186
MEDTRONIC INC                   COM    585055106      328,564     9,885   SH         DEFINED      2                          9,885
MELA SCIENCES INC               COM    55277R100        2,215       500   SH         DEFINED      2                            500
MELCO CROWN ENTMT LTD           COM    585464100       66,729     8,030   SH         DEFINED      3                          8,030
MELCO CROWN ENTMT LTD           COM    585464100        8,310     1,000   SH         DEFINED      2                          1,000
MEMC ELECTR MATLS INC           COM    552715104          330        63   SH         DEFINED      3                             63
MEMC ELECTRONIC MATERIALS       COM    552715104      389,259    74,286   SH         SOLE         1     74,286
MEN S WEARHOUSE INC/THE         COM    587118100    1,099,194    42,147   SH         SOLE         1     42,147
MENTOR GRAPHICS CORP            COM    587200106    2,622,691   272,629   SH         SOLE         1    272,629
MERCADOLIBRE INC                COM    58733R102    8,035,625   149,500   SH         SOLE         1    149,500
MERCADOLIBRE INC                COM    58733R102        5,375       100   SH         DEFINED      3                            100
MERCHANTS BANCSHARES INC        COM    588448100       94,051     3,512   SH         SOLE         1      3,512
MERCK & CO INC NEW              COM    58933Y105      624,525    19,099   SH         DEFINED      4                         19,099
MERCK & CO INC NEW              COM    58933Y105      585,600    17,908   SH         DEFINED      3                         17,908
MERCK & CO INC NEW              COM    58933Y105      306,441     9,371   SH         DEFINED      2                          9,371
MERCK + CO. INC.                ADR    58933Y105   67,621,939 2,067,317   SH         SOLE         1  2,067,317
MERCURY COMPUTER SYSTEMS I      COM    589378108      284,464    24,736   SH         SOLE         1     24,736
MERCURY GENERAL CORP            COM    589400100    5,024,195   131,009   SH         SOLE         1    131,009
MERCURY GENL CORP NEW           COM    589400100       67,113     1,750   SH         DEFINED      2                          1,750
MEREDITH CORP                   COM    589433101   23,457,712 1,036,118   SH         SOLE         1  1,036,118
MERGE HEALTHCARE INC            COM    589499102      230,902    37,915   SH         SOLE         1     37,915
MERIDIAN BIOSCIENCE INC         COM    589584101      528,785    33,595   SH         SOLE         1     33,595
MERIDIAN BIOSCIENCE INC         COM    589584101       15,740     1,000   SH         DEFINED      3                          1,000
MERIDIAN BIOSCIENCE INC         COM    589584101          818        52   SH         DEFINED      2                             52
MERIDIAN INTERSTATE BANCOR      COM    58964Q104       69,999     6,416   SH         SOLE         1      6,416






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
MERIT MEDICAL SYSTEMS INC       COM    589889104      450,978    34,321   SH         SOLE         1     34,321
MERITAGE HOMES CORP             COM    59001A102      346,539    22,889   SH         SOLE         1     22,889
MERITOR INC                     COM    59001K100      487,027    68,984   SH         SOLE         1     68,984
MERITOR INC                     COM    59001K100          113        16   SH         DEFINED      3                             16
MERU NETWORKS INC               COM    59047Q103       64,124     7,868   SH         SOLE         1      7,868
MESABI TR                       COM    590672101        4,170       200   SH         DEFINED      2                            200
MET PRO CORP                    COM    590876306       91,866    10,707   SH         SOLE         1     10,707
METABOLIX INC                   COM    591018809      108,909    24,865   SH         SOLE         1     24,865
METALICO INC                    COM    591176102      114,297    29,307   SH         SOLE         1     29,307
METALS USA HOLDINGS CORP        COM    59132A104       75,753     8,464   SH         SOLE         1      8,464
METHODE ELECTRONICS INC         COM    591520200      224,891    30,268   SH         SOLE         1     30,268
METLIFE INC                     COM    59156R108   10,890,316   388,801   SH         SOLE         1    388,801
METLIFE INC                     COM    59156R108       21,148       755   SH         DEFINED      4                            755
METLIFE INC                     COM    59156R108       76,750     2,740   SH         DEFINED      3                          2,740
METLIFE INC                     COM    59156R108       89,632     3,200   SH         DEFINED      2                          3,200
METRO BANCORP INC               COM    59161R101       87,547    10,121   SH         SOLE         1     10,121
METRO HEALTH NETWORKS INC       COM    592142103      136,291    30,020   SH         SOLE         1     30,020
METROPCS COMMUNICATIONS IN      COM    591708102    5,221,236   599,453   SH         SOLE         1    599,453
METROPCS COMMUNICATIONS INC     COM    591708102        1,741       200   SH         DEFINED      4                            200
METROPCS COMMUNICATIONS INC     COM    591708102       16,540     1,900   SH         DEFINED      3                          1,900
METTLER TOLEDO INTERNATION      COM    592688105    9,741,496    69,602   SH         SOLE         1     69,602
METTLER TOLEDO INTERNATIONAL    COM    592688105        3,499        25   SH         DEFINED      4                             25
MEXICO FD INC                   COM    592835102      103,050     4,749   SH         DEFINED      4                          4,749
MF GLOBAL HLDGS LTD             COM    55277J108       12,390     3,000   SH         DEFINED      3                          3,000
MF GLOBAL HOLDINGS LTD          COM    55277J108      494,225   119,667   SH         SOLE         1    119,667
MFA FINANCIAL INC               COM    55272X102    1,825,621   260,060   SH         SOLE         1    260,060
MFA FINANCIAL INC               COM    55272X102       30,888     4,400   SH         DEFINED      4                          4,400
MFA FINANCIAL INC               COM    55272X102        2,106       300   SH         DEFINED      3                            300
MFS GOVT MKTS INCOME TR         COM    552939100        6,660     1,000   SH         DEFINED      3                          1,000
MFS HIGH INCOME MUN TR          COM    59318D104        9,820     2,000   SH         DEFINED      3                          2,000
MFS HIGH YIELD MUN TR           COM    59318E102        3,537       802   SH         DEFINED      3                            802
MFS INTER INCOME TR             COM    55273C107       37,800     6,300   SH         DEFINED      3                          6,300
MFS INTER INCOME TR             COM    55273C107       22,200     3,700   SH         DEFINED      2                          3,700
MFS INTERMARKET INCOME TRUST    COM    59318R103        4,921       609   SH         DEFINED      4                            609
MFS INTERMEDIATE HIGH INC FD    COM    59318T109        1,384       505   SH         DEFINED      4                            505
MFS INTERMEDIATE HIGH INC FD    COM    59318T109        5,913     2,158   SH         DEFINED      3                          2,158
MFS INTERMEDIATE HIGH INC FD    COM    59318T109       48,224    17,600   SH         DEFINED      2                         17,600
MFS INVT GRADE MUN TR           COM    59318B108        4,684       502   SH         DEFINED      4                            502
MFS MULTIMARKET INCOME TR       COM    552737108        6,300     1,000   SH         DEFINED      3                          1,000
MFS MULTIMARKET INCOME TR       COM    552737108        1,046       166   SH         DEFINED      2                            166
MFS MUN INCOME TR               COM    552738106        7,614     1,128   SH         DEFINED      3                          1,128
MFS MUN INCOME TR               COM    552738106        2,343       347   SH         DEFINED      2                            347
MFS SPL VALUE TR                COM    55274E102        3,250       500   SH         DEFINED      4                            500
MFS SPL VALUE TR                COM    55274E102          975       150   SH         DEFINED      3                            150
MGE ENERGY INC                  COM    55277P104      686,591    16,882   SH         SOLE         1     16,882
MGE ENERGY INC                  COM    55277P104        9,354       230   SH         DEFINED      2                            230
MGIC INVESTMENT CORP            COM    552848103      256,319   137,069   SH         SOLE         1    137,069
MGIC INVT CORP WIS              COM    552848103        7,517     4,020   SH         DEFINED      4                          4,020
MGM RESORTS INTERNATIONAL       COM    552953101       89,779     9,664   SH         SOLE         1      9,664
MGM RESORTS INTERNATIONAL       COM    552953101       38,526     4,147   SH         DEFINED      3                          4,147
MGM RESORTS INTERNATIONAL       COM    552953101       18,116     1,950   SH         DEFINED      2                          1,950
MGP INGREDIENTS INC             COM    55302G103       44,525     8,782   SH         SOLE         1      8,782
MICHAEL BAKER CORP              COM    057149106      116,789     6,105   SH         SOLE         1      6,105
MICREL INC                      COM    594793101      391,092    41,298   SH         SOLE         1     41,298
MICREL INC                      COM    594793101       16,459     1,738   SH         DEFINED      3                          1,738
MICROCHIP TECHNOLOGY INC        COM    595017104    2,174,216    69,888   SH         SOLE         1     69,888
MICROCHIP TECHNOLOGY INC        COM    595017104        3,733       120   SH         DEFINED      4                            120
MICROCHIP TECHNOLOGY INC        COM    595017104        6,222       200   SH         DEFINED      3                            200
MICROCHIP TECHNOLOGY INC        COM    595017104       20,408       656   SH         DEFINED      2                            656
MICROMET INC                    COM    59509C105      320,890    66,852   SH         SOLE         1     66,852
MICRON TECHNOLOGY INC           COM    595112103    3,944,863   782,711   SH         SOLE         1    782,711
MICRON TECHNOLOGY INC           COM    595112103        4,939       980   SH         DEFINED      4                            980
MICRON TECHNOLOGY INC           COM    595112103      136,186    27,021   SH         DEFINED      3                         27,021
MICRON TECHNOLOGY INC           COM    595112103        2,520       500   SH         DEFINED      2                            500
MICROS SYSTEMS INC              COM    594901100    7,744,846   176,380   SH         SOLE         1    176,380
MICROSEMI CORP                  COM    595137100    1,131,416    70,802   SH         SOLE         1     70,802
MICROSOFT CORP                  COM    594918104  136,407,305 5,480,406   SH         SOLE         1  5,480,406
MICROSOFT CORP                  COM    594918104    1,750,505    70,330   SH         DEFINED      4                         70,330
MICROSOFT CORP                  COM    594918104    2,665,296   107,083   SH         DEFINED      3                        107,083
MICROSOFT CORP                  COM    594918104      798,997    32,101   SH         DEFINED      2                         32,101
MICROSTRATEGY INC CL A          COM    594972408      746,816     6,547   SH         SOLE         1      6,547
MICROVISION INC                 COM    594960106       52,207    76,763   SH         SOLE         1     76,763
MICROVISION INC DEL             COM    594960106          680     1,000   SH         DEFINED      4                          1,000
MICROVISION INC DEL             COM    594960106        1,097     1,613   SH         DEFINED      3                          1,613
MID AMERICA APARTMENT COMM      COM    59522J103    1,812,803    30,103   SH         SOLE         1     30,103
MIDAS INC                       COM    595626102       10,496     1,280   SH         SOLE         1      1,280
MIDDLEBY CORP                   COM    596278101      964,386    13,687   SH         SOLE         1     13,687
MIDDLESEX WATER CO              COM    596680108      194,393    11,388   SH         SOLE         1     11,388
MIDDLESEX WATER CO              COM    596680108        1,707       100   SH         DEFINED      3                            100
MIDSOUTH BANCORP INC            COM    598039105       60,039     5,585   SH         SOLE         1      5,585
MIDWAY GOLD CORP                COM    598153104    3,185,832 1,584,991   SH         SOLE         1  1,584,991






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
MILLER ENERGY RESOURCES IN      COM    600527105       59,891    22,686   SH         SOLE         1     22,686
MILLER INDUSTRIES INC/TENN      COM    600551204      149,887     8,639   SH         SOLE         1      8,639
MINDSPEED TECHNOLOGIES INC      COM    602682205      127,187    24,459   SH         SOLE         1     24,459
MINDSPEED TECHNOLOGIES INC      COM    602682205        1,628       313   SH         DEFINED      3                            313
MINDSPEED TECHNOLOGIES INC      COM    602682205        9,880     1,900   SH         DEFINED      2                          1,900
MINE SAFETY APPLIANCES CO       COM    602720104    2,332,984    86,535   SH         SOLE         1     86,535
MINEFINDERS LTD                 COM    602900102       12,124       871   SH         DEFINED      3                            871
MINEFINDERS LTD                 COM    602900102          974        70   SH         DEFINED      2                             70
MINERALS TECHNOLOGIES INC       COM    603158106    2,588,794    52,543   SH         SOLE         1     52,543
MIPS TECHNOLOGIES INC           COM    604567107      185,745    38,377   SH         SOLE         1     38,377
MIPS TECHNOLOGIES INC           COM    604567107          532       110   SH         DEFINED      2                            110
MIRANT CORP                     COM    8428159A2            0   150,000   SH         SOLE         1    150,000
MISSION WEST PROPERTIES         COM    605203108       98,177    12,935   SH         SOLE         1     12,935
MISTRAS GROUP INC               COM    60649T107      188,770    10,750   SH         SOLE         1     10,750
MITCHAM INDUSTRIES INC          COM    606501104       98,358     8,782   SH         SOLE         1      8,782
MITSUBISHI UFJ FINL GROUP IN    COM    606822104          401        90   SH         DEFINED      4                             90
MIZUHO FINL GROUP INC           COM    60687Y109            9         3   SH         DEFINED      3                              3
MIZUHO FINL GROUP INC           COM    60687Y109       53,523    18,780   SH         DEFINED      2                         18,780
MKS INSTRUMENT INC              COM    55306N104       11,767       542   SH         DEFINED      4                            542
MKS INSTRUMENTS INC             COM    55306N104      929,883    42,832   SH         SOLE         1     42,832
MLP & STRATEGIC EQUITY FD IN    COM    55312N106           46         3   SH         DEFINED      3                              3
MOBILE MINI INC                 COM    60740F105      493,825    30,038   SH         SOLE         1     30,038
MOD PAC CORP                    COM    607495108        1,520       268   SH         DEFINED      3                            268
MODINE MANUFACTURING CO         COM    607828100      307,940    33,989   SH         SOLE         1     33,989
MODUSLINK GLOBAL SOLUTIONS      COM    60786L107      111,631    31,986   SH         SOLE         1     31,986
MODUSLINK GLOBAL SOLUTIONS I    COM    60786L107           41        12   SH         DEFINED      3                             12
MOHAWK INDS INC                 COM    608190104        8,496       198   SH         DEFINED      2                            198
MOHAWK INDUSTRIES INC           COM    608190104    5,386,535   125,531   SH         SOLE         1    125,531
MOLEX INC                       COM    608554101      977,027    47,964   SH         SOLE         1     47,964
MOLEX INC                       COM    608554101       12,222       600   SH         DEFINED      2                            600
MOLEX INC                       COM    608554200          287        17   SH         DEFINED      2                             17
MOLINA HEALTHCARE INC           COM    60855R100      930,337    60,255   SH         SOLE         1     60,255
MOLSON COORS BREWING CO         COM    60871R209      167,313     4,224   SH         DEFINED      3                          4,224
MOLSON COORS BREWING CO         COM    60871R209        4,753       120   SH         DEFINED      2                            120
MOLSON COORS BREWING CO  B      COM    60871R209    2,109,827    53,265   SH         SOLE         1     53,265
MOLYCORP INC                    COM    608753109       25,606       779   SH         SOLE         1        779
MOLYCORP INC DEL                COM    608753109       12,819       390   SH         DEFINED      4                            390
MOLYCORP INC DEL                COM    608753109       79,874     2,430   SH         DEFINED      3                          2,430
MOLYCORP INC DEL                COM    608753208       27,640       400   SH         DEFINED      3                            400
MOLYCORP INC DEL                COM    608753109        1,644        50   SH         DEFINED      2                             50
MOMENTA PHARMACEUTICALS IN      COM    60877T100      387,412    33,688   SH         SOLE         1     33,688
MOMENTA PHARMACEUTICALS INC     COM    60877T100        2,300       200   SH         DEFINED      3                            200
MONARCH CASINO + RESORT IN      COM    609027107       73,585     7,524   SH         SOLE         1      7,524
MONEYGRAM INTERNATIONAL IN      COM    60935Y109      142,347    61,093   SH         SOLE         1     61,093
MONEYGRAM INTL INC              COM    60935Y109       26,902    11,546   SH         DEFINED      4                         11,546
MONMOUTH REIT CLASS A           COM    609720107      205,117    25,866   SH         SOLE         1     25,866
MONOLITHIC POWER SYSTEMS I      COM    609839105      249,329    24,492   SH         SOLE         1     24,492
MONOTYPE IMAGING HOLDINGS       COM    61022P100      355,652    29,320   SH         SOLE         1     29,320
MONOTYPE IMAGING HOLDINGS IN    COM    61022P100        2,424       200   SH         DEFINED      2                            200
MONRO MUFFLER BRAKE INC         COM    610236101      823,624    24,981   SH         SOLE         1     24,981
MONRO MUFFLER BRAKE INC         COM    610236101        3,297       100   SH         DEFINED      2                            100
MONSANTO CO                     COM    61166W101   12,835,111   213,776   SH         SOLE         1    213,776
MONSANTO CO NEW                 COM    61166W101      103,929     1,731   SH         DEFINED      4                          1,731
MONSANTO CO NEW                 COM    61166W101      339,826     5,660   SH         DEFINED      3                          5,660
MONSANTO CO NEW                 COM    61166W101      291,076     4,848   SH         DEFINED      2                          4,848
MONSTER WORLDWIDE INC           COM    611742107      732,841   102,067   SH         SOLE         1    102,067
MONSTER WORLDWIDE INC           COM    611742107        1,436       200   SH         DEFINED      4                            200
MONSTER WORLDWIDE INC           COM    611742907            0         5   SH  C      DEFINED      4                              5
MONSTER WORLDWIDE INC           COM    611742107          108        15   SH         DEFINED      3                             15
MONSTER WORLDWIDE INC           COM    611742107        3,590       500   SH         DEFINED      2                            500
MONTPELIER RE HOLDINGS LTD      COM    G62185106      805,342    45,551   SH         SOLE         1     45,551
MONTPELIER RE HOLDINGS LTD      COM    G62185106        6,185       350   SH         DEFINED      3                            350
MOODY S CORP                    COM    615369105    2,397,907    78,749   SH         SOLE         1     78,749
MOODYS CORP                     COM    615369105        9,135       300   SH         DEFINED      4                            300
MOODYS CORP                     COM    615369105       12,055       396   SH         DEFINED      3                            396
MOOG INC                        COM    615394301        9,235       279   SH         DEFINED      3                            279
MOOG INC CLASS A                COM    615394202    1,214,997    37,247   SH         SOLE         1     37,247
MORGAN STANLEY                  COM    617446448    9,655,079   715,191   SH         SOLE         1    715,191
MORGAN STANLEY                  COM    617446448       19,603     1,451   SH         DEFINED      4                          1,451
MORGAN STANLEY                  COM    617446448        7,471       553   SH         DEFINED      3                            553
MORGAN STANLEY                  COM    617480280      163,894     3,800   SH         DEFINED      3                          3,800
MORGAN STANLEY                  COM    617446448       88,977     6,586   SH         DEFINED      2                          6,586
MORGAN STANLEY                  COM    61747W257       50,725     1,250   SH         DEFINED      2                          1,250
MORGAN STANLEY ASIA PAC FD I    COM    61744U106        6,314       450   SH         DEFINED      2                            450
MORGAN STANLEY CHINA A SH FD    COM    617468103       17,736       837   SH         DEFINED      4                            837
MORGAN STANLEY CHINA A SH FD    COM    617468103       52,975     2,500   SH         DEFINED      3                          2,500
MORGAN STANLEY EM MKTS DM DE    COM    617477104       47,028     3,250   SH         DEFINED      3                          3,250
MORGAN STANLEY EM MKTS DM DE    COM    617477104        1,447       100   SH         DEFINED      2                            100
MORGAN STANLEY EMER MKTS DEB    COM    61744H105       49,346     5,103   SH         DEFINED      4                          5,103
MORGAN STANLEY EMER MKTS DEB    COM    61744H105       86,972     8,994   SH         DEFINED      3                          8,994
MORGAN STANLEY INDIA INVS FD    COM    61745C105        5,037       300   SH         DEFINED      3                            300






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
MORGAN STANLEY INDIA INVS FD    COM    61745C105       33,580     2,000   SH         DEFINED      2                          2,000
MORGANS HOTEL GROUP CO          COM    61748W108       96,493    16,109   SH         SOLE         1     16,109
MORNINGSTAR INC                 COM    617700109       18,512       328   SH         SOLE         1        328
MOSAIC CO NEW                   COM    61945C103       10,529       215   SH         DEFINED      3                            215
MOSAIC CO NEW                   COM    61945C103      345,239     7,050   SH         DEFINED      2                          7,050
MOSAIC CO/THE                   COM    61945C103    4,064,069    82,991   SH         SOLE         1     82,991
MOSYS INC                       COM    619718109       87,225    23,832   SH         SOLE         1     23,832
MOTORCAR PARTS OF AMERICA       COM    620071100       72,539     8,814   SH         SOLE         1      8,814
MOTOROLA MOBILITY HLDGS INC     COM    620097105        1,473        39   SH         DEFINED      4                             39
MOTOROLA MOBILITY HLDGS INC     COM    620097105       15,830       419   SH         DEFINED      3                            419
MOTOROLA MOBILITY HLDGS INC     COM    620097105       23,801       630   SH         DEFINED      2                            630
MOTOROLA MOBILITY HOLDINGS      COM    620097105    3,710,903    98,224   SH         SOLE         1     98,224
MOTOROLA SOLUTIONS INC          COM    620076307    6,323,758   150,925   SH         SOLE         1    150,925
MOTOROLA SOLUTIONS INC          COM    620076307        1,886        45   SH         DEFINED      4                             45
MOTOROLA SOLUTIONS INC          COM    620076307       20,699       494   SH         DEFINED      3                            494
MOTOROLA SOLUTIONS INC          COM    620076307       53,423     1,275   SH         DEFINED      2                          1,275
MOTRICITY INC                   COM    620107102       45,693    27,037   SH         SOLE         1     27,037
MOTRICITY INC                   COM    620107102        2,028     1,200   SH         DEFINED      4                          1,200
MOTRICITY INC                   COM    620107102          845       500   SH         DEFINED      3                            500
MOTRICITY INC                   COM    620107102        8,450     5,000   SH         DEFINED      2                          5,000
MOVADO GROUP INC                COM    624580106      172,700    14,179   SH         SOLE         1     14,179
MOVE INC                        COM    62458M108      168,093   115,926   SH         SOLE         1    115,926
MPG OFFICE TRUST INC            COM    553274101       75,582    35,821   SH         SOLE         1     35,821
MSC INDUSTRIAL DIRECT CO A      COM    553530106    5,748,531   101,816   SH         SOLE         1    101,816
MSCI INC                        COM    55354G100        1,820        60   SH         DEFINED      2                             60
MSCI INC A                      COM    55354G100    7,976,942   263,005   SH         SOLE         1    263,005
MTS SYSTEMS CORP                COM    553777103      391,763    12,786   SH         SOLE         1     12,786
MUELLER INDS INC                COM    624756102        1,428        37   SH         DEFINED      2                             37
MUELLER INDUSTRIES INC          COM    624756102    1,196,869    31,015   SH         SOLE         1     31,015
MUELLER WATER PRODUCTS INC      COM    624758108      281,629   113,560   SH         SOLE         1    113,560
MULTI COLOR CORP                COM    625383104      188,107     8,327   SH         SOLE         1      8,327
MULTI FINELINE ELECTRONIX       COM    62541B101      131,564     6,598   SH         SOLE         1      6,598
MULTIMEDIA GAMES HOLDING C      COM    625453105       88,908    22,007   SH         SOLE         1     22,007
MURPHY OIL CORP                 COM    626717102    6,726,584   152,323   SH         SOLE         1    152,323
MURPHY OIL CORP                 COM    626717102        8,832       200   SH         DEFINED      4                            200
MV OIL TR                       COM    553859109      143,285     3,860   SH         DEFINED      4                          3,860
MVC CAPITAL INC                 COM    553829102      183,466    17,523   SH         SOLE         1     17,523
MVC CAPITAL INC                 COM    553829102       10,470     1,000   SH         DEFINED      4                          1,000
MWI VETERINARY SUPPLY INC       COM    55402X105      707,745    10,284   SH         SOLE         1     10,284
MWI VETERINARY SUPPLY INC       COM    55402X105       20,646       300   SH         DEFINED      3                            300
MYERS INDUSTRIES INC            COM    628464109      266,204    26,227   SH         SOLE         1     26,227
MYLAN INC                       COM    628530107    6,484,803   381,459   SH         SOLE         1    381,459
MYLAN INC                       COM    628530107        5,097       300   SH         DEFINED      4                            300
MYLAN INC                       COM    628530107      231,693    13,637   SH         DEFINED      3                         13,637
MYLAN INC                       COM    628530107       28,883     1,700   SH         DEFINED      2                          1,700
MYR GROUP INC/DELAWARE          COM    55405W104      259,361    14,703   SH         SOLE         1     14,703
MYRIAD GENETICS INC             COM    62855J104       21,945     1,171   SH         SOLE         1      1,171
N B T BANCORP INC               COM    628778102      523,930    28,138   SH         SOLE         1     28,138
NABI BIOPHARMACEUTICALS         COM    629519109       52,513    31,258   SH         SOLE         1     31,258
NABI BIOPHARMACEUTICALS         COM    629519109        1,008       600   SH         DEFINED      4                            600
NABORS INDUSTRIES LTD           COM    G6359F103    1,509,647   123,136   SH         SOLE         1    123,136
NABORS INDUSTRIES LTD           COM    G6359F103       33,850     2,761   SH         DEFINED      3                          2,761
NABORS INDUSTRIES LTD           COM    G6359F103        3,065       250   SH         DEFINED      2                            250
NACCO INDUSTRIES CL A           COM    629579103      270,084     4,260   SH         SOLE         1      4,260
NALCO HOLDING CO                COM    62985Q101       82,833     2,368   SH         SOLE         1      2,368
NALCO HOLDING COMPANY           COM    62985Q101          245         7   SH         DEFINED      3                              7
NAM TAI ELECTRS INC             COM    629865205       29,460     6,000   SH         DEFINED      3                          6,000
NANOMETRICS INC                 COM    630077105      235,016    16,208   SH         SOLE         1     16,208
NANOMETRICS INC                 COM    630077105      217,500    15,000   SH         DEFINED      4                         15,000
NARA BANCORP INC                COM    63080P105      189,026    31,141   SH         SOLE         1     31,141
NASDAQ OMX GROUP INC            COM    631103108        4,628       200   SH         DEFINED      3                            200
NASDAQ OMX GROUP INC            COM    631103108       12,496       540   SH         DEFINED      2                            540
NASDAQ OMX GROUP/THE            COM    631103108    2,498,009   107,952   SH         SOLE         1    107,952
NASDAQ PREM INCM & GRW FD IN    COM    63110R105       10,305       797   SH         DEFINED      4                            797
NASDAQ PREM INCM & GRW FD IN    COM    63110R105       43,846     3,391   SH         DEFINED      3                          3,391
NASH FINCH CO                   COM    631158102      267,199     9,922   SH         SOLE         1      9,922
NATIONAL AMERICAN UNIVERSI      COM    63245Q105       46,311     6,468   SH         SOLE         1      6,468
NATIONAL BANKSHARES INC/VA      COM    634865109      122,243     5,066   SH         SOLE         1      5,066
NATIONAL BEVERAGE CORP          COM    635017106      123,857     8,170   SH         SOLE         1      8,170
NATIONAL BK GREECE S A          COM    633643408           44        57   SH         DEFINED      4                             57
NATIONAL BK GREECE S A          COM    633643408       18,562    23,800   SH         DEFINED      2                         23,800
NATIONAL CINEMEDIA INC          COM    635309107      584,361    40,273   SH         SOLE         1     40,273
NATIONAL FINANCIAL PARTNER      COM    63607P208    1,084,220    99,106   SH         SOLE         1     99,106
NATIONAL FUEL GAS CO            COM    636180101    8,840,239   181,599   SH         SOLE         1    181,599
NATIONAL FUEL GAS CO N J        COM    636180101       60,850     1,250   SH         DEFINED      4                          1,250
NATIONAL FUEL GAS CO N J        COM    636180101       46,246       950   SH         DEFINED      3                            950
NATIONAL GRID PLC               COM    636274300      153,512     3,095   SH         DEFINED      4                          3,095
NATIONAL GRID PLC               COM    636274300      139,872     2,820   SH         DEFINED      3                          2,820
NATIONAL GRID PLC               COM    636274300       64,480     1,300   SH         DEFINED      2                          1,300
NATIONAL HEALTH INVS INC        COM    63633D104       30,334       720   SH         DEFINED      3                            720
NATIONAL HEALTHCARE CORP        COM    635906100      241,443     7,475   SH         SOLE         1      7,475






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
NATIONAL INSTRS CORP            COM    636518102        6,933       303   SH         DEFINED      2                            303
NATIONAL INSTRUMENTS CORP       COM    636518102    4,612,142   201,756   SH         SOLE         1    201,756
NATIONAL INTERSTATE CORP        COM    63654U100      110,493     5,027   SH         SOLE         1      5,027
NATIONAL OILWELL VARCO INC      COM    637071101   13,620,371   265,919   SH         SOLE         1    265,919
NATIONAL OILWELL VARCO INC      COM    637071101        2,254        44   SH         DEFINED      4                             44
NATIONAL OILWELL VARCO INC      COM    637071101      147,360     2,877   SH         DEFINED      3                          2,877
NATIONAL OILWELL VARCO INC      COM    637071101       10,244       200   SH         DEFINED      2                            200
NATIONAL PENN BANCSHARES INC    COM    637138108        5,769       823   SH         DEFINED      2                            823
NATIONAL PRESTO INDS INC        COM    637215104      341,904     3,934   SH         SOLE         1      3,934
NATIONAL RESEARCH CORP          COM    637372103       44,176     1,333   SH         SOLE         1      1,333
NATIONAL RETAIL PROPERTIES      COM    637417106    1,893,153    70,456   SH         SOLE         1     70,456
NATIONAL RETAIL PROPERTIES I    COM    637417106       55,406     2,062   SH         DEFINED      4                          2,062
NATIONAL RETAIL PROPERTIES I    COM    637417106       20,153       750   SH         DEFINED      3                            750
NATIONAL RETAIL PROPERTIES I    COM    637417106    1,160,776    43,200   SH         DEFINED      2                         43,200
NATL HEALTH INVESTORS INC       COM    63633D104      750,335    17,810   SH         SOLE         1     17,810
NATL PENN BCSHS INC             COM    637138108      709,980   101,281   SH         SOLE         1    101,281
NATL WESTERN LIFE INS CL A      COM    638522102      217,884     1,608   SH         SOLE         1      1,608
NATURAL GAS SERVICES GROUP      COM    63886Q109      114,469     8,922   SH         SOLE         1      8,922
NATURAL GAS SERVICES GROUP      COM    63886Q109       29,676     2,313   SH         DEFINED      3                          2,313
NATURAL RESOURCE PARTNERS L     COM    63900P103       92,715     3,656   SH         DEFINED      4                          3,656
NATURAL RESOURCE PARTNERS L     COM    63900P103       12,680       500   SH         DEFINED      3                            500
NATURAL RESOURCE PARTNERS L     COM    63900P103      101,440     4,000   SH         DEFINED      2                          4,000
NATURES SUNSHINE PRODS INC      COM    639027101      114,851     8,157   SH         SOLE         1      8,157
NATUS MEDICAL INC               COM    639050103      226,214    23,787   SH         SOLE         1     23,787
NAVIGANT CONSULTING INC         COM    63935N107      392,195    42,308   SH         SOLE         1     42,308
NAVIGATORS GROUP INC            COM    638904102      411,437     9,524   SH         SOLE         1      9,524
NAVIOS MARITIME PARTNERS L P    COM    Y62267102      107,531     8,085   SH         DEFINED      4                          8,085
NAVIOS MARITIME PARTNERS L P    COM    Y62267102       21,426     1,611   SH         DEFINED      3                          1,611
NAVISTAR INTERNATIONAL COR      COM    63934E108       46,831     1,458   SH         SOLE         1      1,458
NAVISTAR INTL CORP NEW          COM    63934E108       22,484       700   SH         DEFINED      2                            700
NCI BUILDING SYSTEMS INC        COM    628852204      122,366    16,186   SH         SOLE         1     16,186
NCI INC A                       COM    62886K104       66,510     5,575   SH         SOLE         1      5,575
NCR CORP NEW                    COM    62886E108        3,682       218   SH         DEFINED      3                            218
NCR CORPORATION                 COM    62886E108    5,802,712   343,559   SH         SOLE         1    343,559
NEENAH PAPER INC                COM    640079109      173,393    12,228   SH         SOLE         1     12,228
NEKTAR THERAPEUTICS             COM    640268108      404,087    83,317   SH         SOLE         1     83,317
NEKTAR THERAPEUTICS             COM    640268108      111,550    23,000   SH         DEFINED      3                         23,000
NELNET INC CL A                 COM    64031N108      353,740    18,836   SH         SOLE         1     18,836
NEOGEN CORP                     COM    640491106      659,923    19,007   SH         SOLE         1     19,007
NEOGEN CORP                     COM    640491106       22,581       650   SH         DEFINED      2                            650
NEOPHOTONICS CORP               COM    64051T100       43,482     6,320   SH         SOLE         1      6,320
NEOPROBE CORP                   COM    640518106      204,580    69,115   SH         SOLE         1     69,115
NEOSTEM INC                     COM    640650305       21,640    33,293   SH         SOLE         1     33,293
NEOSTEM INC                     COM    640650305           65       100   SH         DEFINED      4                            100
NEOSTEM INC                     COM    640650305            1         1   SH         DEFINED      2                              1
NESS TECHNOLOGIES INC           COM    64104X108      187,999    24,543   SH         SOLE         1     24,543
NETAPP INC                      COM    64110D104    5,789,044   170,567   SH         SOLE         1    170,567
NETAPP INC                      COM    64110D104        2,545        75   SH         DEFINED      4                             75
NETAPP INC                      COM    64110D104      178,234     5,253   SH         DEFINED      3                          5,253
NETFLIX INC                     COM    64110L106    2,473,225    21,856   SH         SOLE         1     21,856
NETFLIX INC                     COM    64110L106        6,796        60   SH         DEFINED      4                             60
NETFLIX INC                     COM    64110L106      104,322       921   SH         DEFINED      3                            921
NETFLIX INC                     COM    64110L106       48,026       424   SH         DEFINED      2                            424
NETGEAR INC                     COM    64111Q104    5,518,790   213,163   SH         SOLE         1    213,163
NETGEAR INC                     COM    64111Q104       12,945       500   SH         DEFINED      2                            500
NETLIST INC                     COM    64118P109        2,220     1,850   SH         DEFINED      3                          1,850
NETLOGIC MICROSYSTEMS INC       COM    64118B100    2,400,352    49,893   SH         SOLE         1     49,893
NETLOGIC MICROSYSTEMS INC       COM    64118B100       52,932     1,100   SH         DEFINED      2                          1,100
NETSCOUT SYSTEMS INC            COM    64115T104      347,499    30,429   SH         SOLE         1     30,429
NETSPEND HOLDINGS INC           COM    64118V106      111,615    21,715   SH         SOLE         1     21,715
NETSUITE INC                    COM    64118Q107      536,878    19,877   SH         SOLE         1     19,877
NETWORK ENGINES INC             COM    64121A107        3,450     3,000   SH         DEFINED      3                          3,000
NETWORK EQUIPMENT TECH INC      COM    641208103        5,160     2,660   SH         SOLE         1      2,660
NEUBERGER BERMAN INTER MUNI     COM    64124P101       53,003     3,580   SH         DEFINED      4                          3,580
NEUBERGER BERMAN INTER MUNI     COM    64124P101        2,221       150   SH         DEFINED      2                            150
NEUBERGER BERMAN NY INT MUN     COM    64124K102       22,798     1,628   SH         DEFINED      2                          1,628
NEUBERGER BERMAN RE ES SEC F    COM    64190A103        4,062     1,154   SH         DEFINED      3                          1,154
NEURALSTEM INC                  COM    64127R302        3,250     2,500   SH         DEFINED      2                          2,500
NEUROCRINE BIOSCIENCES INC      COM    64125C109      215,304    36,004   SH         SOLE         1     36,004
NEUSTAR INC CLASS A             COM    64126X201    4,022,526   160,005   SH         SOLE         1    160,005
NEUTRAL TANDEM INC              COM    64128B108      249,095    25,733   SH         SOLE         1     25,733
NEUTRAL TANDEM INC              COM    64128B108       10,648     1,100   SH         DEFINED      2                          1,100
NEVADA GOLD & CASINOS INC       COM    64126Q206        1,313       750   SH         DEFINED      2                            750
NEVSUN RES LTD                  COM    64156L101       11,066     2,200   SH         DEFINED      4                          2,200
NEW AMER HIGH INCOME FD INC     COM    641876800      155,551    17,207   SH         DEFINED      3                         17,207
NEW ENERGY SYS GROUP            COM    643847106        9,000     5,000   SH         DEFINED      2                          5,000
NEW GOLD INC CDA                COM    644535106       15,435     1,500   SH         DEFINED      4                          1,500
NEW GOLD INC CDA                COM    644535956        1,400        10   SH  P      DEFINED      4                             10
NEW GOLD INC CDA                COM    644535106       15,126     1,470   SH         DEFINED      3                          1,470
NEW GOLD INC CDA                COM    644535106        2,058       200   SH         DEFINED      2                            200
NEW JERSEY RES                  COM    646025106        6,386       150   SH         DEFINED      3                            150






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
NEW JERSEY RESOURCES CORP       COM    646025106    1,442,995    33,897   SH         SOLE         1     33,897
NEW MOUNTAIN FINANCE CORP       COM    647551100       67,528     5,313   SH         SOLE         1      5,313
NEW ORIENTAL ED & TECH GRP I    COM    647581107       15,987       696   SH         DEFINED      4                            696
NEW ORIENTAL ED & TECH GRP I    COM    647581107        2,297       100   SH         DEFINED      3                            100
NEW ORIENTAL ED & TECH GRP I    COM    647581107       16,538       720   SH         DEFINED      2                            720
NEW YORK + CO                   COM    649295102       63,353    19,860   SH         SOLE         1     19,860
NEW YORK CMNTY BANCORP INC      COM    649445103      176,186    14,806   SH         DEFINED      4                         14,806
NEW YORK CMNTY BANCORP INC      COM    649445103      405,106    34,043   SH         DEFINED      3                         34,043
NEW YORK CMNTY BANCORP INC      COM    649445103      318,403    26,757   SH         DEFINED      2                         26,757
NEW YORK COMMUNITY BANCORP      COM    649445103   11,440,517   961,388   SH         SOLE         1    961,388
NEW YORK TIMES CO A             COM    650111107    2,104,882   362,286   SH         SOLE         1    362,286
NEWCASTLE INVESTMENT CORP       COM    65105M108      235,665    57,903   SH         SOLE         1     57,903
NEWELL RUBBERMAID INC           COM    651229106    2,203,214   185,612   SH         SOLE         1    185,612
NEWELL RUBBERMAID INC           COM    651229106          285        24   SH         DEFINED      4                             24
NEWELL RUBBERMAID INC           COM    651229106        1,899       160   SH         DEFINED      3                            160
NEWELL RUBBERMAID INC           COM    651229106          594        50   SH         DEFINED      2                             50
NEWFIELD EXPL CO                COM    651290108       60,924     1,535   SH         DEFINED      4                          1,535
NEWFIELD EXPL CO                COM    651290108       33,340       840   SH         DEFINED      3                            840
NEWFIELD EXPL CO                COM    651290108       11,907       300   SH         DEFINED      2                            300
NEWFIELD EXPLORATION CO         COM    651290108    2,131,035    53,692   SH         SOLE         1     53,692
NEWMARKET CORP                  COM    651587107    4,599,079    30,283   SH         SOLE         1     30,283
NEWMARKET CORP                  COM    651587107       84,895       559   SH         DEFINED      3                            559
NEWMONT MINING CORP             COM    651639106    9,312,785   148,057   SH         SOLE         1    148,057
NEWMONT MINING CORP             COM    651639106       45,765       727   SH         DEFINED      4                            727
NEWMONT MINING CORP             COM    651639106       93,355     1,483   SH         DEFINED      3                          1,483
NEWMONT MINING CORP             COM    651639906        6,550        20   SH  C      DEFINED      3                             20
NEWMONT MINING CORP             COM    651639106       30,657       487   SH         DEFINED      2                            487
NEWPARK RES INC                 COM    651718504        1,218       200   SH         DEFINED      3                            200
NEWPARK RESOURCES INC           COM    651718504      402,062    66,020   SH         SOLE         1     66,020
NEWPORT CORP                    COM    651824104      331,835    30,697   SH         SOLE         1     30,697
NEWPORT CORP                    COM    651824104          205        19   SH         DEFINED      3                             19
NEWS CORP                       COM    65248E104           15         1   SH         DEFINED      4                              1
NEWS CORP                       COM    65248E203        1,092        70   SH         DEFINED      4                             70
NEWS CORP                       COM    65248E104        9,089       587   SH         DEFINED      3                            587
NEWS CORP                       COM    65248E203          468        30   SH         DEFINED      3                             30
NEWS CORP                       COM    65248E104        2,694       174   SH         DEFINED      2                            174
NEWS CORP CL A                  COM    65248E104   16,366,254 1,057,935   SH         SOLE         1  1,057,935
NEWSTAR FINANCIAL INC           COM    65251F105      186,109    19,926   SH         SOLE         1     19,926
NEXEN INC                       COM    65334H102          620        40   SH         DEFINED      3                             40
NEXSTAR BROADCASTING GROUP      COM    65336K103       52,880     8,000   SH         SOLE         1      8,000
NEXTERA ENERGY INC              COM    65339F101    9,016,964   166,919   SH         SOLE         1    166,919
NEXTERA ENERGY INC              COM    65339F101       92,752     1,717   SH         DEFINED      4                          1,717
NEXTERA ENERGY INC              COM    65339F101       98,749     1,828   SH         DEFINED      3                          1,828
NEXTERA ENERGY INC              COM    65339F101      107,054     1,982   SH         DEFINED      2                          1,982
NFJ DIVID INT & PREM STRTGY     COM    65337H109       17,446     1,182   SH         DEFINED      4                          1,182
NFJ DIVID INT & PREM STRTGY     COM    65337H109      249,193    16,883   SH         DEFINED      3                         16,883
NFJ DIVID INT & PREM STRTGY     COM    65337H109        1,476       100   SH         DEFINED      2                            100
NGL ENERGY PARTNERS LP          COM    62913M107        2,150       100   SH         DEFINED      3                            100
NGP CAP RES CO                  COM    62912R107        7,194     1,100   SH         DEFINED      2                          1,100
NGP CAPITAL RESOURCES CO        COM    62912R107      103,312    15,797   SH         SOLE         1     15,797
NIC INC                         COM    62914B100      534,990    46,724   SH         SOLE         1     46,724
NIC INC                         COM    62914B100       57,250     5,000   SH         DEFINED      3                          5,000
NICE SYS LTD                    COM    653656108          243         8   SH         DEFINED      3                              8
NICHOLAS FINANCIAL INC          COM    65373J209       69,357     7,099   SH         SOLE         1      7,099
NICOR INC                       COM    654086107    3,422,392    62,214   SH         SOLE         1     62,214
NICOR INC                       COM    654086107       11,002       200   SH         DEFINED      4                            200
NICOR INC                       COM    654086107       11,827       215   SH         DEFINED      2                            215
NIELSEN HOLDINGS NV             COM    N63218106       32,913     1,262   SH         SOLE         1      1,262
NII HLDGS INC                   CNV    62913FAJ1       14,105        14   PRN        DEFINED      3                             14
NII HOLDINGS INC                COM    62913F201      316,959    11,761   SH         SOLE         1     11,761
NIKE INC                        COM    654106103       17,530       205   SH         DEFINED      4                            205
NIKE INC                        COM    654106103       49,767       582   SH         DEFINED      3                            582
NIKE INC                        COM    654106103      142,296     1,664   SH         DEFINED      2                          1,664
NIKE INC  CL B                  COM    654106103   11,982,944   140,135   SH         SOLE         1    140,135
NIPPON TELEG & TEL CORP         COM    654624105          958        40   SH         DEFINED      4                             40
NISKA GAS STORAGE PARTNERS L    COM    654678101        6,984       600   SH         DEFINED      2                            600
NISOURCE INC                    COM    65473P105    3,310,586   154,845   SH         SOLE         1    154,845
NISOURCE INC                    COM    65473P105       66,278     3,100   SH         DEFINED      4                          3,100
NISOURCE INC                    COM    65473P105        8,552       400   SH         DEFINED      3                            400
NL INDUSTRIES                   COM    629156407       61,009     4,869   SH         SOLE         1      4,869
NN INC                          COM    629337106       61,974    12,272   SH         SOLE         1     12,272
NOBLE CORP                      COM    H5833N103    2,481,895    84,562   SH         SOLE         1     84,562
NOBLE CORPORATION BAAR          COM    H5833N103        7,338       250   SH         DEFINED      4                            250
NOBLE CORPORATION BAAR          COM    H5833N103      108,235     3,688   SH         DEFINED      3                          3,688
NOBLE CORPORATION BAAR          COM    H5833N103       13,119       447   SH         DEFINED      2                            447
NOBLE ENERGY INC                COM    655044105    5,374,782    75,915   SH         SOLE         1     75,915
NOBLE ENERGY INC                COM    655044105       15,576       220   SH         DEFINED      3                            220
NOBLE ENERGY INC                COM    655044105        3,186        45   SH         DEFINED      2                             45
NOKIA CORP                      COM    654902204        2,009       355   SH         DEFINED      4                            355
NOKIA CORP                      COM    654902204    1,072,949   189,567   SH         DEFINED      3                        189,567
NOKIA CORP                      COM    654902204        2,190       387   SH         DEFINED      2                            387






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
NOMURA HLDGS INC                COM    65535H208          214        60   SH         DEFINED      4                             60
NORANDA ALUMINUM HOLDING C      COM    65542W107      138,568    16,595   SH         SOLE         1     16,595
NORDIC AMERICAN TANKERS LIMI    COM    G65773106       36,942     2,620   SH         DEFINED      4                          2,620
NORDIC AMERICAN TANKERS LIMI    COM    G65773106      192,239    13,634   SH         DEFINED      3                         13,634
NORDIC AMERICAN TANKERS LIMI    COM    G65773106       21,187     1,503   SH         DEFINED      2                          1,503
NORDIC AMERICAN TANKERS LT      COM    G65773106      486,337    34,492   SH         SOLE         1     34,492
NORDSON CORP                    COM    655663102    5,168,028   130,046   SH         SOLE         1    130,046
NORDSON CORP                    COM    655663102      330,438     8,315   SH         DEFINED      3                          8,315
NORDSTROM INC                   COM    655664100    7,646,878   167,401   SH         SOLE         1    167,401
NORDSTROM INC                   COM    655664100      119,403     2,614   SH         DEFINED      3                          2,614
NORDSTROM INC                   COM    655664100       45,641       999   SH         DEFINED      2                            999
NORFOLK SOUTHERN CORP           COM    655844108    9,756,244   159,886   SH         SOLE         1    159,886
NORFOLK SOUTHERN CORP           COM    655844108       57,664       945   SH         DEFINED      4                            945
NORFOLK SOUTHERN CORP           COM    655844108      501,481     8,218   SH         DEFINED      3                          8,218
NORFOLK SOUTHERN CORP           COM    655844108       96,900     1,588   SH         DEFINED      2                          1,588
NORTH AMERN PALLADIUM LTD       COM    656912102           89        35   SH         DEFINED      3                             35
NORTH EUROPEAN OIL RTY TR       COM    659310106        2,506        80   SH         DEFINED      2                             80
NORTH VALLEY BANCORP            COM    66304M204          935       100   SH         DEFINED      4                            100
NORTHEAST UTILITIES             COM    664397106    3,662,971   108,855   SH         SOLE         1    108,855
NORTHEAST UTILS                 COM    664397106       16,825       500   SH         DEFINED      4                            500
NORTHEAST UTILS                 COM    664397106        3,533       105   SH         DEFINED      3                            105
NORTHEAST UTILS                 COM    664397106       10,730       319   SH         DEFINED      2                            319
NORTHERN DYNASTY MINERALS LT    COM    66510M204       16,080     3,000   SH         DEFINED      3                          3,000
NORTHERN OIL & GAS INC NEV      COM    665531109       19,390     1,000   SH         DEFINED      4                          1,000
NORTHERN OIL & GAS INC NEV      COM    665531109       11,634       600   SH         DEFINED      3                            600
NORTHERN OIL AND GAS INC        COM    665531109    3,548,641   183,014   SH         SOLE         1    183,014
NORTHERN TRUST CORP             COM    665859104    4,206,170   120,245   SH         SOLE         1    120,245
NORTHFIELD BANCORP INC NEW      COM    66611L105       92,680     7,000   SH         DEFINED      4                          7,000
NORTHFIELD BANCORP INC NEW      COM    66611L105       10,592       800   SH         DEFINED      3                            800
NORTHFIELD BANCORP INC/NJ       COM    66611L105      164,851    12,451   SH         SOLE         1     12,451
NORTHGATE MINERALS CORP         COM    666416102          990       300   SH         DEFINED      4                            300
NORTHROP GRUMMAN CORP           COM    666807102   30,954,874   593,460   SH         SOLE         1    593,460
NORTHROP GRUMMAN CORP           COM    666807102       29,893       573   SH         DEFINED      4                            573
NORTHROP GRUMMAN CORP           COM    666807102       35,267       676   SH         DEFINED      3                            676
NORTHROP GRUMMAN CORP           COM    666807102        7,930       152   SH         DEFINED      2                            152
NORTHSTAR REALTY FINANCE C      COM    66704R100      231,046    70,014   SH         SOLE         1     70,014
NORTHWEST BANCSHARES INC        COM    667340103    1,032,144    86,662   SH         SOLE         1     86,662
NORTHWEST NAT GAS CO            COM    667655104       36,338       824   SH         DEFINED      4                            824
NORTHWEST NAT GAS CO            COM    667655104       22,050       500   SH         DEFINED      3                            500
NORTHWEST NAT GAS CO            COM    667655104       72,554     1,645   SH         DEFINED      2                          1,645
NORTHWEST NATURAL GAS CO        COM    667655104      963,629    21,851   SH         SOLE         1     21,851
NORTHWEST PIPE CO               COM    667746101      137,992     6,801   SH         SOLE         1      6,801
NORTHWESTERN CORP               COM    668074305      948,682    29,702   SH         SOLE         1     29,702
NOVAGOLD RES INC                COM    66987E206        3,548       550   SH         DEFINED      4                            550
NOVAGOLD RES INC                COM    66987E206       38,700     6,000   SH         DEFINED      3                          6,000
NOVAGOLD RES INC                COM    66987E206       18,060     2,800   SH         DEFINED      2                          2,800
NOVARTIS A G                    COM    66987V109      140,485     2,519   SH         DEFINED      4                          2,519
NOVARTIS A G                    COM    66987V109      256,877     4,606   SH         DEFINED      3                          4,606
NOVARTIS A G                    COM    66987V109       37,366       670   SH         DEFINED      2                            670
NOVATEL WIRELESS INC            COM    66987M604       79,290    26,255   SH         SOLE         1     26,255
NOVATEL WIRELESS INC            COM    66987M604          604       200   SH         DEFINED      3                            200
NOVAVAX INC                     COM    670002104      112,969    70,167   SH         SOLE         1     70,167
NOVELLUS SYS INC                COM    670008101        1,636        60   SH         DEFINED      3                             60
NOVELLUS SYSTEMS INC            COM    670008101      629,515    23,093   SH         SOLE         1     23,093
NOVO-NORDISK A S                COM    670100205       13,933       140   SH         DEFINED      4                            140
NOVO-NORDISK A S                COM    670100205       57,224       575   SH         DEFINED      3                            575
NOVO-NORDISK A S                COM    670100205       13,933       140   SH         DEFINED      2                            140
NPS PHARMACEUTICALS INC         COM    62936P103      408,919    62,814   SH         SOLE         1     62,814
NPS PHARMACEUTICALS INC         COM    62936P103        9,765     1,500   SH         DEFINED      3                          1,500
NRG ENERGY INC                  COM    629377508    1,703,630    80,322   SH         SOLE         1     80,322
NRG ENERGY INC                  COM    629377508       11,241       530   SH         DEFINED      4                            530
NRG ENERGY INC                  COM    629377508        3,818       180   SH         DEFINED      3                            180
NRG ENERGY INC                  COM    629377508       10,499       495   SH         DEFINED      2                            495
NSTAR                           COM    67019E107   10,199,518   227,617   SH         SOLE         1    227,617
NSTAR                           COM    67019E107       26,035       581   SH         DEFINED      4                            581
NSTAR                           COM    67019E107       31,367       700   SH         DEFINED      3                            700
NSTAR                           COM    67019E107        1,792        40   SH         DEFINED      2                             40
NTELOS HLDGS CORP               COM    67020Q107      174,641     9,850   SH         DEFINED      3                          9,850
NTELOS HOLDINGS CORP            COM    67020Q107      436,406    24,614   SH         SOLE         1     24,614
NU SKIN ENTERPRISES INC         COM    67018T105    1,621,489    40,017   SH         SOLE         1     40,017
NU SKIN ENTERPRISES INC         COM    67018T105      235,259     5,806   SH         DEFINED      2                          5,806
NUANCE COMMUNICATIONS INC       COM    67020Y100       74,823     3,675   SH         SOLE         1      3,675
NUANCE COMMUNICATIONS INC       COM    67020Y100       30,510     1,500   SH         DEFINED      3                          1,500
NUANCE COMMUNICATIONS INC       COM    67020Y100        3,051       150   SH         DEFINED      2                            150
NUCOR CORP                      COM    670346105    3,331,186   105,284   SH         SOLE         1    105,284
NUCOR CORP                      COM    670346105       39,934     1,262   SH         DEFINED      4                          1,262
NUCOR CORP                      COM    670346105      136,930     4,328   SH         DEFINED      3                          4,328
NUCOR CORP                      COM    670346105      139,442     4,407   SH         DEFINED      2                          4,407
NUMEREX CORP  CL A              COM    67053A102       38,803     6,979   SH         SOLE         1      6,979
NUSTAR ENERGY LP                COM    67058H102       26,140       500   SH         DEFINED      4                            500
NUSTAR ENERGY LP                COM    67058H102       93,529     1,789   SH         DEFINED      3                          1,789






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
NUSTAR ENERGY LP                COM    67058H102       86,053     1,646   SH         DEFINED      2                          1,646
NUSTAR GP HOLDINGS LLC          COM    67059L102       33,726     1,100   SH         DEFINED      3                          1,100
NUTRACEUTICAL INTL CORP         COM    67060Y101       85,869     6,719   SH         SOLE         1      6,719
NUTRI SYS INC NEW               COM    67069D108       41,174     3,400   SH         DEFINED      4                          3,400
NUTRISYSTEM INC                 COM    67069D108      268,418    22,165   SH         SOLE         1     22,165
NUVASIVE INC                    COM    670704105    2,038,499   119,420   SH         SOLE         1    119,420
NUVEEN ARIZ DIVID ADVANTAGE     COM    67071P107       42,492     3,136   SH         DEFINED      3                          3,136
NUVEEN CALIF MUN VALUE FD       COM    67062C107        8,145       900   SH         DEFINED      2                            900
NUVEEN CORE EQUITY ALPHA FUN    COM    67090X107       23,763     2,045   SH         DEFINED      3                          2,045
NUVEEN CT DIVID ADVANTAGE MU    COM    67069T103       28,580     2,000   SH         DEFINED      3                          2,000
NUVEEN DIV ADV MUNI FD 3        COM    67070X101       55,228     3,854   SH         DEFINED      2                          3,854
NUVEEN DIVERSIFIED DIV INCM     COM    6706EP105       15,753     1,614   SH         DEFINED      3                          1,614
NUVEEN ENHANCED MUN VALUE FD    COM    67074M101       18,141     1,293   SH         DEFINED      3                          1,293
NUVEEN EQTY PRM OPPORTUNITYF    COM    6706EM102       14,881     1,369   SH         DEFINED      3                          1,369
NUVEEN EQUITY PREM ADV FD       COM    6706ET107      104,442     9,512   SH         DEFINED      3                          9,512
NUVEEN EQUITY PREM INCOME FD    COM    6706ER101        8,010       750   SH         DEFINED      3                            750
NUVEEN EQUITY PREM INCOME FD    COM    6706ER101        1,068       100   SH         DEFINED      2                            100
NUVEEN FLOATING RATE INCOME     COM    67072T108       52,676     5,200   SH         DEFINED      3                          5,200
NUVEEN FLTNG RTE INCM OPP FD    COM    6706EN100        4,176       400   SH         DEFINED      4                            400
NUVEEN FLTNG RTE INCM OPP FD    COM    6706EN100      172,260    16,500   SH         DEFINED      3                         16,500
NUVEEN FLTNG RTE INCM OPP FD    COM    6706EN100        7,621       730   SH         DEFINED      2                            730
NUVEEN GA DIV ADV MUNI FD       COM    67070T100       22,575     1,500   SH         DEFINED      2                          1,500
NUVEEN GA PREM INCOME MUN FD    COM    67060F102       61,060     4,300   SH         DEFINED      2                          4,300
NUVEEN GBL VL OPPORTUNITIES     COM    6706EH103      117,227     7,109   SH         DEFINED      4                          7,109
NUVEEN GBL VL OPPORTUNITIES     COM    6706EH103       10,455       634   SH         DEFINED      3                            634
NUVEEN GLB GOVT ENHANCED IN     COM    67073C104       15,677     1,076   SH         DEFINED      3                          1,076
NUVEEN INSD MUN OPPORTUNITY     COM    670984103       56,697     3,940   SH         DEFINED      4                          3,940
NUVEEN INSD MUN OPPORTUNITY     COM    670984103        8,634       600   SH         DEFINED      3                            600
NUVEEN INSD PREM INCOME MUN     COM    6706D8104        7,492       575   SH         DEFINED      2                            575
NUVEEN INVT QUALITY MUN FD I    COM    67062E103       20,706     1,400   SH         DEFINED      2                          1,400
NUVEEN MICH QUALITY INCOME M    COM    670979103       64,775     4,650   SH         DEFINED      3                          4,650
NUVEEN MULT CURR ST GV INCM     COM    67090N109        9,107       700   SH         DEFINED      3                            700
NUVEEN MULT STRAT INCM GR FD    COM    67073D102       36,619     4,659   SH         DEFINED      4                          4,659
NUVEEN MULT STRAT INCM GR FD    COM    67073D102      123,509    15,714   SH         DEFINED      3                         15,714
NUVEEN MULT STRAT INCM GR FD    COM    67073D102      317,471    40,391   SH         DEFINED      2                         40,391
NUVEEN MULTI STRAT INC & GR     COM    67073B106        9,000     1,200   SH         DEFINED      4                          1,200
NUVEEN MULTI STRAT INC & GR     COM    67073B106          248        33   SH         DEFINED      3                             33
NUVEEN MULTI STRAT INC & GR     COM    67073B106       55,500     7,400   SH         DEFINED      2                          7,400
NUVEEN MUN HIGH INCOME OPP F    COM    670682103        7,532       651   SH         DEFINED      3                            651
NUVEEN MUN MKT OPPORTUNITY F    COM    67062W103       27,000     2,000   SH         DEFINED      3                          2,000
NUVEEN MUN VALUE FD INC         COM    670928100       34,162     3,511   SH         DEFINED      3                          3,511
NUVEEN N C DIV ADV FD 2         COM    67071D104      157,718    10,445   SH         DEFINED      2                         10,445
NUVEEN N C PREM INCOME MUN F    COM    67060P100       20,763     1,427   SH         DEFINED      4                          1,427
NUVEEN N C PREM INCOME MUN F    COM    67060P100      100,395     6,900   SH         DEFINED      2                          6,900
NUVEEN NC DIV ADV MUN FD 3      COM    67072D103      119,474     8,200   SH         DEFINED      2                          8,200
NUVEEN NC DIVID ADVANTAGE MU    COM    67069N106      102,426     6,865   SH         DEFINED      2                          6,865
NUVEEN NEW JERSEY DIVID         COM    67071T109      201,055    14,849   SH         DEFINED      4                         14,849
NUVEEN NEW JERSEY MUN VALUE     COM    670702109       15,265     1,022   SH         DEFINED      2                          1,022
NUVEEN NJ PREM INCOME MUN FD    COM    67101N106        6,589       465   SH         DEFINED      4                            465
NUVEEN NY DIV ADVANTG MUN FD    COM    67070A101       10,200       750   SH         DEFINED      3                            750
NUVEEN NY DIVID ADVNTG MUN F    COM    67066X107        5,480       400   SH         DEFINED      3                            400
NUVEEN OHIO QUALITY INCOME M    COM    670980101        8,576       535   SH         DEFINED      2                            535
NUVEEN PA PREM INCOME MUN FD    COM    67061F101        9,254       700   SH         DEFINED      2                            700
NUVEEN PERFORMANCE PLUS MUN     COM    67062P108        2,595       178   SH         DEFINED      2                            178
NUVEEN PREM INCOME MUN FD 2     COM    67063W102       28,860     2,000   SH         DEFINED      3                          2,000
NUVEEN PREM INCOME MUN FD 2     COM    67063W102       10,101       700   SH         DEFINED      2                            700
NUVEEN PREM INCOME MUN FD 4     COM    6706K4105       26,476     2,093   SH         DEFINED      4                          2,093
NUVEEN PREMIER INSD MUN INCO    COM    670987106       37,379     2,512   SH         DEFINED      4                          2,512
NUVEEN PREMIER INSD MUN INCO    COM    670987106       12,291       826   SH         DEFINED      3                            826
NUVEEN PREMIER MUN INCOME FD    COM    670988104       99,639     7,112   SH         DEFINED      4                          7,112
NUVEEN QUALITY INCOME MUN FD    COM    670977107       63,445     4,535   SH         DEFINED      4                          4,535
NUVEEN QUALITY INCOME MUN FD    COM    670977107      211,711    15,133   SH         DEFINED      3                         15,133
NUVEEN QUALITY INCOME MUN FD    COM    670977107       24,576     1,757   SH         DEFINED      2                          1,757
NUVEEN QUALITY PFD INCOME FD    COM    67071S101       52,785     7,010   SH         DEFINED      3                          7,010
NUVEEN QUALITY PFD INCOME FD    COM    67072C105       19,481     2,570   SH         DEFINED      3                          2,570
NUVEEN QUALITY PFD INCOME FD    COM    67072C105        7,580     1,000   SH         DEFINED      2                          1,000
NUVEEN REAL ESTATE INCOME FD    COM    67071B108        2,990       333   SH         DEFINED      3                            333
NUVEEN SELECT QUALITY MUN FD    COM    670973106       29,320     2,000   SH         DEFINED      4                          2,000
NUVEEN SELECT TAX FREE INCM     COM    67063C106       30,217     2,328   SH         DEFINED      4                          2,328
NUVEEN SELECT TAX FREE INCM     COM    67063C106        3,894       300   SH         DEFINED      2                            300
NUVEEN SELECT TAX FREE INCM     COM    67063X100        2,315       168   SH         DEFINED      2                            168
NUVEEN SR INCOME FD             COM    67067Y104        4,925       732   SH         DEFINED      3                            732
NUVEEN TAX ADV FLTG RATE FUN    COM    6706EV102        3,837     1,890   SH         DEFINED      2                          1,890
NUVEEN TAX ADVANTAGED DIV GR    COM    67073G105      108,960     9,737   SH         DEFINED      2                          9,737
NV ENERGY INC                   COM    67073Y106    7,631,430   518,792   SH         SOLE         1    518,792
NV ENERGY INC                   COM    67073Y106        3,678       250   SH         DEFINED      3                            250
NVE CORP                        COM    629445206      211,582     3,488   SH         SOLE         1      3,488
NVIDIA CORP                     COM    67066G104    3,312,450   264,996   SH         SOLE         1    264,996
NVIDIA CORP                     COM    67066G104       15,012     1,200   SH         DEFINED      4                          1,200
NVIDIA CORP                     COM    67066G904          410        10   SH  C      DEFINED      4                             10
NVIDIA CORP                     COM    67066G104        7,293       583   SH         DEFINED      3                            583






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
NVIDIA CORP                     COM    67066G104       32,526     2,600   SH         DEFINED      2                          2,600
NVR INC                         COM    62944T105    7,230,849    11,972   SH         SOLE         1     11,972
NXSTAGE MEDICAL INC             COM    67072V103      679,953    32,596   SH         SOLE         1     32,596
NYMOX PHARMACEUTICAL CORP       COM    67076P102      115,952    14,175   SH         SOLE         1     14,175
NYSE EURONEXT                   COM    629491101    3,219,414   138,529   SH         SOLE         1    138,529
NYSE EURONEXT                   COM    629491101        6,856       295   SH         DEFINED      4                            295
NYSE EURONEXT                   COM    629491101       25,703     1,106   SH         DEFINED      3                          1,106
NYSE EURONEXT                   COM    629491101       42,456     1,827   SH         DEFINED      2                          1,827
O CHARLEYS INC                  COM    670823103       89,795    15,117   SH         SOLE         1     15,117
O REILLY AUTOMOTIVE INC         COM    67103H107    3,318,441    49,804   SH         SOLE         1     49,804
O REILLY AUTOMOTIVE INC NEW     COM    67103H107       31,649       475   SH         DEFINED      4                            475
O REILLY AUTOMOTIVE INC NEW     COM    67103H107      618,326     9,280   SH         DEFINED      3                          9,280
OASIS PETE INC NEW              COM    674215108       20,097       900   SH         DEFINED      3                            900
OASIS PETE INC NEW              COM    674215108        2,680       120   SH         DEFINED      2                            120
OASIS PETROLEUM INC             COM    674215108      970,774    43,474   SH         SOLE         1     43,474
OBAGI MEDICAL PRODUCTS INC      COM    67423R108      122,790    13,538   SH         SOLE         1     13,538
OCCIDENTAL PETE CORP DEL        COM    674599105      262,405     3,670   SH         DEFINED      4                          3,670
OCCIDENTAL PETE CORP DEL        COM    674599105      274,365     3,837   SH         DEFINED      3                          3,837
OCCIDENTAL PETE CORP DEL        COM    674599105      192,840     2,697   SH         DEFINED      2                          2,697
OCCIDENTAL PETROLEUM CORP       COM    674599105   26,733,922   373,901   SH         SOLE         1    373,901
OCEANEERING INTL INC            COM    675232102    8,371,657   236,889   SH         SOLE         1    236,889
OCEANEERING INTL INC            COM    675232102        7,068       200   SH         DEFINED      3                            200
OCEANFIRST FINANCIAL CORP       COM    675234108      124,974    10,709   SH         SOLE         1     10,709
OCEANFREIGHT INC                COM    Y64202123           18         1   SH         DEFINED      4                              1
OCH ZIFF CAP MGMT GROUP         COM    67551U105       33,781     3,700   SH         DEFINED      4                          3,700
OCLARO INC                      COM    67555N206      134,159    36,857   SH         SOLE         1     36,857
OCLARO INC                      COM    67555N206        1,492       410   SH         DEFINED      3                            410
OCULUS INNOVATIVE SCIENCES I    COM    67575P108        6,274     4,155   SH         DEFINED      2                          4,155
OCWEN FINANCIAL CORP            COM    675746309      718,716    54,407   SH         SOLE         1     54,407
OCZ TECHNOLOGY GROUP INC        COM    67086E303      182,016    37,529   SH         SOLE         1     37,529
ODYSSEY MARINE EXPLORATION      COM    676118102      130,793    53,168   SH         SOLE         1     53,168
ODYSSEY MARINE EXPLORATION I    COM    676118102        6,760     2,748   SH         DEFINED      3                          2,748
OFFICE DEPOT INC                COM    676220106    1,668,052   809,734   SH         SOLE         1    809,734
OFFICE DEPOT INC                COM    676220106        2,060     1,000   SH         DEFINED      3                          1,000
OFFICEMAX INC                   COM    67622P101    7,216,456 1,487,929   SH         SOLE         1  1,487,929
OGE ENERGY CORP                 COM    670837103   10,292,437   215,368   SH         SOLE         1    215,368
OGE ENERGY CORP                 COM    670837103       21,506       450   SH         DEFINED      4                            450
OGE ENERGY CORP                 COM    670837103      289,752     6,063   SH         DEFINED      3                          6,063
OGE ENERGY CORP                 COM    670837103       66,906     1,400   SH         DEFINED      2                          1,400
OIL DRI CORP AMER               COM    677864100        4,645       250   SH         DEFINED      2                            250
OIL DRI CORP OF AMERICA         COM    677864100       67,631     3,640   SH         SOLE         1      3,640
OIL STATES INTERNATIONAL I      COM    678026105    5,709,456   112,126   SH         SOLE         1    112,126
OIL SVC HOLDRS TR               COM    678002106       30,933       300   SH         DEFINED      4                            300
OIL SVC HOLDRS TR               COM    678002106       10,311       100   SH         DEFINED      2                            100
OILSANDS QUEST INC              COM    678046103          231     1,100   SH         DEFINED      2                          1,100
OLD DOMINION FGHT LINES INC     COM    679580100          435        15   SH         DEFINED      3                             15
OLD DOMINION FREIGHT LINE       COM    679580100    1,125,137    38,838   SH         SOLE         1     38,838
OLD NATIONAL BANCORP            COM    680033107      723,297    77,607   SH         SOLE         1     77,607
OLD REPUBLIC INTL CORP          COM    680223104    5,011,764   561,857   SH         SOLE         1    561,857
OLIN CORP                       COM    680665205    4,178,374   232,003   SH         SOLE         1    232,003
OLIN CORP                       COM    680665205        3,602       200   SH         DEFINED      4                            200
OLIN CORP                       COM    680665205        5,684       316   SH         DEFINED      3                            316
OLYMPIC STEEL INC               COM    68162K106      126,914     7,492   SH         SOLE         1      7,492
OM GROUP INC                    COM    670872100      662,599    25,514   SH         SOLE         1     25,514
OMEGA FLEX INC                  COM    682095104       26,760     2,012   SH         SOLE         1      2,012
OMEGA HEALTHCARE INVESTORS      COM    681936100    4,742,632   297,717   SH         SOLE         1    297,717
OMEGA HEALTHCARE INVS INC       COM    681936100       15,134       950   SH         DEFINED      3                            950
OMEGA HEALTHCARE INVS INC       COM    681936100        6,372       400   SH         DEFINED      2                            400
OMEGA PROTEIN CORP              COM    68210P107      128,373    14,138   SH         SOLE         1     14,138
OMEGA PROTEIN CORP              COM    68210P107       10,088     1,111   SH         DEFINED      2                          1,111
OMNIAMERICAN BANCORP INC        COM    68216R107      118,032     8,647   SH         SOLE         1      8,647
OMNICARE INC                    COM    681904108    6,474,707   254,609   SH         SOLE         1    254,609
OMNICARE INC                    CNV    681904AL2          904         1   PRN        DEFINED      3                              1
OMNICELL INC                    COM    68213N109      373,893    27,133   SH         SOLE         1     27,133
OMNICOM GROUP                   COM    681919106    3,713,804   100,809   SH         SOLE         1    100,809
OMNIVISION TECHNOLOGIES IN      COM    682128103      594,496    42,343   SH         SOLE         1     42,343
OMNIVISION TECHNOLOGIES INC     COM    682128103      144,991    10,327   SH         DEFINED      3                         10,327
OMNIVISION TECHNOLOGIES INC     COM    682128103        9,828       700   SH         DEFINED      2                            700
OMNOVA SOLUTIONS INC            COM    682129101      118,287    33,041   SH         SOLE         1     33,041
OMNOVA SOLUTIONS INC            COM    682129101           64        18   SH         DEFINED      2                             18
ON ASSIGNMENT INC               COM    682159108      214,136    30,288   SH         SOLE         1     30,288
ON SEMICONDUCTOR CORP           COM    682189105          230        32   SH         DEFINED      3                             32
ON SEMICONDUCTOR CORPORATI      COM    682189105       52,018     7,255   SH         SOLE         1      7,255
ONCOGENEX PHARMACEUTICAL I      COM    68230A106       69,560     7,098   SH         SOLE         1      7,098
ONCOLYTICS BIOTECH INC          COM    682310107        1,044       300   SH         DEFINED      3                            300
ONCOTHYREON INC                 COM    682324108      181,678    30,381   SH         SOLE         1     30,381
ONE LIBERTY PROPERTIES INC      COM    682406103      118,805     8,104   SH         SOLE         1      8,104
ONEBEACON INSURANCE GROUP       COM    G67742109      221,036    16,205   SH         SOLE         1     16,205
ONEBEACON INSURANCE GROUP LT    COM    G67742109        1,364       100   SH         DEFINED      4                            100
ONEOK INC                       COM    682680103    3,648,578    55,248   SH         SOLE         1     55,248
ONEOK INC NEW                   COM    682680103       66,832     1,012   SH         DEFINED      4                          1,012






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ONEOK INC NEW                   COM    682680103      603,172     9,133   SH         DEFINED      3                          9,133
ONEOK INC NEW                   COM    682680103        2,972        45   SH         DEFINED      2                             45
ONEOK PARTNERS LP               COM    68268N103       55,944     1,200   SH         DEFINED      4                          1,200
ONEOK PARTNERS LP               COM    68268N103      522,275    11,203   SH         DEFINED      3                         11,203
ONEOK PARTNERS LP               COM    68268N103       93,240     2,000   SH         DEFINED      2                          2,000
ONYX PHARMACEUTICALS INC        COM    683399109    1,388,683    46,274   SH         SOLE         1     46,274
ONYX PHARMACEUTICALS INC        COM    683399109       30,010     1,000   SH         DEFINED      2                          1,000
OPEN TEXT CORP                  COM    683715106       16,053       308   SH         DEFINED      3                            308
OPENTABLE INC                   COM    68372A104      791,188    17,196   SH         SOLE         1     17,196
OPENTABLE INC                   COM    68372A104       23,005       500   SH         DEFINED      3                            500
OPENWAVE SYSTEMS INC            COM    683718308       97,096    62,241   SH         SOLE         1     62,241
OPKO HEALTH INC                 COM    68375N103      344,378    79,533   SH         SOLE         1     79,533
OPLINK COMMUNICATIONS INC       COM    68375Q403      256,123    16,917   SH         SOLE         1     16,917
OPLINK COMMUNICATIONS INC       COM    68375Q403        7,570       500   SH         DEFINED      3                            500
OPNET TECHNOLOGIES INC          COM    683757108      367,044    10,514   SH         SOLE         1     10,514
OPNEXT INC                      COM    68375V105       39,885    31,908   SH         SOLE         1     31,908
OPPENHEIMER HOLDINGS CL A       COM    683797104      120,845     7,534   SH         SOLE         1      7,534
OPTIMER PHARMACEUTICALS IN      COM    68401H104      468,526    33,853   SH         SOLE         1     33,853
ORACLE CORP                     COM    68389X105   66,184,857 2,302,883   SH         SOLE         1  2,302,883
ORACLE CORP                     COM    68389X105      105,936     3,686   SH         DEFINED      4                          3,686
ORACLE CORP                     COM    68389X105      924,249    32,159   SH         DEFINED      3                         32,159
ORACLE CORP                     COM    68389X105      571,971    19,902   SH         DEFINED      2                         19,902
ORACLE CORP                     COM    68389X905          945         1   SH  C      DEFINED      2                              1
ORASURE TECHNOLOGIES INC        COM    68554V108      271,436    34,100   SH         SOLE         1     34,100
ORBCOMM INC                     COM    68555P100       64,502    25,295   SH         SOLE         1     25,295
ORBITAL SCIENCES CORP           COM    685564106      612,685    47,866   SH         SOLE         1     47,866
ORBITAL SCIENCES CORP           CNV    685564AN6        1,993         2   PRN        DEFINED      3                              2
ORBITZ WORLDWIDE INC            COM    68557K109       33,158    15,280   SH         SOLE         1     15,280
OREXIGEN THERAPEUTICS INC       COM    686164104       46,821    23,528   SH         SOLE         1     23,528
ORIENT EXPRESS HOTELS LTD       COM    G67743107      480,957    69,603   SH         SOLE         1     69,603
ORIENTAL FINANCIAL GROUP        COM    68618W100      319,758    33,067   SH         SOLE         1     33,067
ORION ENERGY SYSTEMS INC        COM    686275108          265       100   SH         DEFINED      2                            100
ORION MARINE GROUP INC          COM    68628V308      127,500    22,097   SH         SOLE         1     22,097
ORITANI FINANCIAL CORP          COM    68633D103      586,236    45,586   SH         SOLE         1     45,586
ORIX CORP                       COM    686330101          387        10   SH         DEFINED      4                             10
ORMAT TECHNOLOGIES INC          COM    686688102      210,761    13,107   SH         SOLE         1     13,107
ORMAT TECHNOLOGIES INC          COM    686688102        9,648       600   SH         DEFINED      2                            600
ORRSTOWN FINL SERVICES INC      COM    687380105       65,586     5,104   SH         SOLE         1      5,104
ORTHOFIX INTERNATIONAL NV       COM    N6748L102      455,083    13,187   SH         SOLE         1     13,187
OSHKOSH CORP                    COM    688239201    3,150,062   200,131   SH         SOLE         1    200,131
OSHKOSH CORP                    COM    688239201      149,530     9,500   SH         DEFINED      3                          9,500
OSHKOSH CORP                    COM    688239201        3,148       200   SH         DEFINED      2                            200
OSI SYSTEMS INC                 COM    671044105      524,789    15,656   SH         SOLE         1     15,656
OSIRIS THERAPEUTICS INC         COM    68827R108       62,351    12,178   SH         SOLE         1     12,178
OSIRIS THERAPEUTICS INC NEW     COM    68827R108        5,120     1,000   SH         DEFINED      3                          1,000
OSSEN INNOVATION CO LTD         COM    688410109       17,760    12,000   SH         DEFINED      3                         12,000
OTELCO INC                      COM    688823202       16,060     1,000   SH         DEFINED      3                          1,000
OTTER TAIL CORP                 COM    689648103      481,967    26,337   SH         SOLE         1     26,337
OTTER TAIL CORP                 COM    689648103       21,977     1,201   SH         DEFINED      3                          1,201
OUTDOOR CHANNEL HOLDINGS I      COM    690027206       60,020    10,493   SH         SOLE         1     10,493
OVERSEAS SHIPHOLDING GROUP      COM    690368105    1,047,648    76,248   SH         SOLE         1     76,248
OVERSEAS SHIPHOLDING GROUP I    COM    690368105        2,748       200   SH         DEFINED      3                            200
OVERSTOCK.COM INC               COM    690370101       78,387     8,456   SH         SOLE         1      8,456
OWENS & MINOR INC NEW           COM    690732102       29,050     1,020   SH         DEFINED      3                          1,020
OWENS & MINOR INC NEW           COM    690732102       22,385       786   SH         DEFINED      2                            786
OWENS + MINOR INC               COM    690732102    5,261,908   184,758   SH         SOLE         1    184,758
OWENS CORNING                   COM    690742101       83,685     3,860   SH         SOLE         1      3,860
OWENS CORNING NEW               COM    690742101        2,602       120   SH         DEFINED      3                            120
OWENS CORNING NEW               COM    690742127           45        35   SH         DEFINED      3                             35
OWENS ILL INC                   COM    690768403          302        20   SH         DEFINED      3                             20
OWENS ILLINOIS INC              COM    690768403    1,394,835    92,251   SH         SOLE         1     92,251
OXFORD INDUSTRIES INC           COM    691497309      363,786    10,606   SH         SOLE         1     10,606
OXYGEN BIOTHERAPEUTICS INC      COM    69207P209          418       200   SH         DEFINED      3                            200
OYO GEOSPACE CORP               COM    671074102      201,631     3,582   SH         SOLE         1      3,582
P G + E CORP                    COM    69331C108    5,147,096   121,652   SH         SOLE         1    121,652
PACCAR INC                      COM    693718108    4,556,839   134,738   SH         SOLE         1    134,738
PACCAR INC                      COM    693718108        6,764       200   SH         DEFINED      4                            200
PACCAR INC                      COM    693718108       21,070       623   SH         DEFINED      3                            623
PACCAR INC                      COM    693718108        6,832       202   SH         DEFINED      2                            202
PACER INTERNATIONAL INC         COM    69373H106       95,831    25,555   SH         SOLE         1     25,555
PACHOLDER HIGH YIELD FD INC     COM    693742108       11,053     1,220   SH         DEFINED      3                          1,220
PACIFIC BIOSCIENCES OF CAL      COM    69404D108       79,528    24,775   SH         SOLE         1     24,775
PACIFIC CAPITAL BANCORP         COM    69404P200       76,662     3,004   SH         SOLE         1      3,004
PACIFIC CONTINENTAL CORP        COM    69412V108       95,424    13,459   SH         SOLE         1     13,459
PACIFIC ETHANOL INC             COM    69423U206        5,780    20,000   SH         DEFINED      2                         20,000
PACIFIC SUNWEAR OF CALIF        COM    694873100       41,570    34,642   SH         SOLE         1     34,642
PACIRA PHARMACEUTICALS INC      COM    695127100       35,500     3,575   SH         SOLE         1      3,575
PACKAGING CORP AMER             COM    695156109        5,709       245   SH         DEFINED      4                            245
PACKAGING CORP AMER             COM    695156109       93,200     4,000   SH         DEFINED      3                          4,000
PACKAGING CORP OF AMERICA       COM    695156109    5,073,435   217,744   SH         SOLE         1    217,744
PACWEST BANCORP                 COM    695263103      349,476    25,070   SH         SOLE         1     25,070






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
PAETEC HOLDING CORP             COM    695459107      484,300    91,550   SH         SOLE         1     91,550
PAETEC HOLDING CORP             COM    695459107        6,348     1,200   SH         DEFINED      4                          1,200
PAIN THERAPEUTICS INC           COM    69562K100      128,234    26,940   SH         SOLE         1     26,940
PALATIN TECHNOLOGIES INC        COM    696077403           20        40   SH         DEFINED      4                             40
PALL CORP                       COM    696429307    1,874,674    44,214   SH         SOLE         1     44,214
PALL CORP                       COM    696429307       10,388       245   SH         DEFINED      4                            245
PALOMAR MEDICAL TECHNOLOGI      COM    697529303      122,707    15,572   SH         SOLE         1     15,572
PAN AMERICAN SILVER CORP        COM    697900108       10,976       410   SH         DEFINED      4                            410
PAN AMERICAN SILVER CORP        COM    697900108       88,341     3,300   SH         DEFINED      3                          3,300
PAN AMERICAN SILVER CORP        COM    697900108        2,142        80   SH         DEFINED      2                             80
PANDORA MEDIA INC               COM    698354107       21,243     1,450   SH         DEFINED      3                          1,450
PANERA BREAD CO                 COM    69840W108       34,612       333   SH         DEFINED      4                            333
PANERA BREAD CO                 COM    69840W108       10,394       100   SH         DEFINED      3                            100
PANERA BREAD COMPANY CLASS      COM    69840W108    6,902,136    66,405   SH         SOLE         1     66,405
PANHANDLE OIL AND GAS INC       COM    698477106      145,737     5,137   SH         SOLE         1      5,137
PANTRY INC                      COM    698657103      203,651    16,789   SH         SOLE         1     16,789
PAPA JOHN S INTL INC            COM    698813102      489,835    16,113   SH         SOLE         1     16,113
PAR PHARMACEUTICAL COS INC      COM    69888P106      790,321    29,689   SH         SOLE         1     29,689
PARAGON SHIPPING INC            COM    69913R309           79       100   SH         DEFINED      4                            100
PARAGON SHIPPING INC            COM    69913R309          553       700   SH         DEFINED      3                            700
PARAMETRIC TECHNOLOGY CORP      COM    699173209    7,379,232   479,794   SH         SOLE         1    479,794
PARAMETRIC TECHNOLOGY CORP      COM    699173209           46         3   SH         DEFINED      4                              3
PARAMOUNT GOLD AND SILVER       COM    69924P102      201,893    85,548   SH         SOLE         1     85,548
PAREXEL INTERNATIONAL CORP      COM    699462107      913,126    48,237   SH         SOLE         1     48,237
PAREXEL INTL CORP               COM    699462107        5,206       275   SH         DEFINED      2                            275
PARK ELECTROCHEMICAL CORP       COM    700416209      362,820    16,978   SH         SOLE         1     16,978
PARK ELECTROCHEMICAL CORP       COM    700416209      137,580     6,438   SH         DEFINED      4                          6,438
PARK NATIONAL CORP              COM    700658107      498,394     9,425   SH         SOLE         1      9,425
PARK NATL CORP                  COM    700658107      120,824     2,285   SH         DEFINED      3                          2,285
PARK OHIO HOLDINGS CORP         COM    700666100       73,129     6,089   SH         SOLE         1      6,089
PARK STERLING CORP              COM    70086Y105       71,488    20,903   SH         SOLE         1     20,903
PARKER DRILLING CO              COM    701081101      374,107    85,218   SH         SOLE         1     85,218
PARKER HANNIFIN CORP            COM    701094104    4,963,849    78,629   SH         SOLE         1     78,629
PARKER HANNIFIN CORP            COM    701094104       68,622     1,087   SH         DEFINED      4                          1,087
PARKER HANNIFIN CORP            COM    701094104      209,403     3,317   SH         DEFINED      3                          3,317
PARKVALE FINL CORP              COM    701492100      112,558     6,117   SH         DEFINED      3                          6,117
PARKWAY PPTYS INC               COM    70159Q104          859        78   SH         DEFINED      4                             78
PARKWAY PROPERTIES INC          COM    70159Q104      198,235    18,005   SH         SOLE         1     18,005
PARTNER COMMUNICATIONS CO LT    COM    70211M109        1,890       200   SH         DEFINED      4                            200
PARTNER COMMUNICATIONS CO LT    COM    70211M109        5,103       540   SH         DEFINED      3                            540
PARTNER COMMUNICATIONS CO LT    COM    70211M109        3,780       400   SH         DEFINED      2                            400
PARTNERRE LTD                   COM    G6852T105      108,251     2,071   SH         SOLE         1      2,071
PATRIOT COAL CORP               COM    70336T104    2,239,167   264,677   SH         SOLE         1    264,677
PATRIOT COAL CORP               COM    70336T104       57,528     6,800   SH         DEFINED      3                          6,800
PATRIOT COAL CORP               COM    70336T104      253,580    29,974   SH         DEFINED      2                         29,974
PATRIOT TRANSPORTATION HLD      COM    70337B102       91,086     4,507   SH         SOLE         1      4,507
PATTERSON COMPANIES INC         COM    703395103       11,452       400   SH         DEFINED      3                            400
PATTERSON COMPANIES INC         COM    703395103        7,644       267   SH         DEFINED      2                            267
PATTERSON COS INC               COM    703395103      868,119    30,322   SH         SOLE         1     30,322
PATTERSON UTI ENERGY INC        COM    703481101    5,929,482   341,954   SH         SOLE         1    341,954
PATTERSON UTI ENERGY INC        COM    703481101        1,561        90   SH         DEFINED      4                             90
PATTERSON UTI ENERGY INC        COM    703481101      500,883    28,886   SH         DEFINED      3                         28,886
PAYCHEX INC                     COM    704326107    6,499,836   246,486   SH         SOLE         1    246,486
PAYCHEX INC                     COM    704326107       86,098     3,265   SH         DEFINED      4                          3,265
PAYCHEX INC                     COM    704326107       27,214     1,032   SH         DEFINED      3                          1,032
PAYCHEX INC                     COM    704326107       57,012     2,162   SH         DEFINED      2                          2,162
PC CONNECTION INC               COM    69318J100       54,232     6,796   SH         SOLE         1      6,796
PC TEL INC                      COM    69325Q105       10,111     1,644   SH         SOLE         1      1,644
PCM FUND INC                    COM    69323T101        5,050       500   SH         DEFINED      3                            500
PCM FUND INC                    COM    69323T101    1,358,753   134,530   SH         DEFINED      2                        134,530
PDF SOLUTIONS INC               COM    693282105       69,760    17,098   SH         SOLE         1     17,098
PDL BIOPHARMA INC               COM    69329Y104      566,211   102,020   SH         SOLE         1    102,020
PDL BIOPHARMA INC               COM    69329Y104        1,110       200   SH         DEFINED      4                            200
PDL BIOPHARMA INC               COM    69329Y104      288,700    52,018   SH         DEFINED      3                         52,018
PEABODY ENERGY CORP             COM    704549104    2,888,643    85,261   SH         SOLE         1     85,261
PEABODY ENERGY CORP             COM    704549104      105,028     3,100   SH         DEFINED      4                          3,100
PEABODY ENERGY CORP             COM    704549104       47,906     1,414   SH         DEFINED      3                          1,414
PEABODY ENERGY CORP             COM    704549104      406,662    12,003   SH         DEFINED      2                         12,003
PEARSON PLC                     COM    705015105        3,502       200   SH         DEFINED      4                            200
PEBBLEBROOK HOTEL TR            COM    70509V100        4,695       300   SH         DEFINED      3                            300
PEBBLEBROOK HOTEL TRUST         COM    70509V100      581,695    37,169   SH         SOLE         1     37,169
PEETS COFFEE & TEA INC          COM    705560100        6,399       115   SH         DEFINED      4                            115
PEETS COFFEE + TEA INC          COM    705560100      584,721    10,509   SH         SOLE         1     10,509
PEGASYSTEMS INC                 COM    705573103      371,728    12,144   SH         SOLE         1     12,144
PENDRELL CORP                   COM    70686R104      248,434   110,415   SH         SOLE         1    110,415
PENGROWTH ENERGY CORP           COM    70706P104       22,475     2,500   SH         DEFINED      4                          2,500
PENGROWTH ENERGY CORP           COM    70706P104      152,111    16,920   SH         DEFINED      3                         16,920
PENGROWTH ENERGY CORP           COM    70706P104      171,110    19,033   SH         DEFINED      2                         19,033
PENN NATIONAL GAMING INC        COM    707569109       73,105     2,196   SH         SOLE         1      2,196
PENN REAL ESTATE INVEST TS      COM    709102107      352,418    45,591   SH         SOLE         1     45,591
PENN VA RESOURCES PARTNERS L    COM    707884102       22,110       945   SH         DEFINED      4                            945






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
PENN VA RESOURCES PARTNERS L    COM    707884102       16,841       720   SH         DEFINED      3                            720
PENN VA RESOURCES PARTNERS L    COM    707884102       17,075       730   SH         DEFINED      2                            730
PENN VIRGINIA CORP              COM    707882106      208,407    37,416   SH         SOLE         1     37,416
PENN WEST PETE LTD NEW          COM    707887105      178,747    12,102   SH         DEFINED      4                         12,102
PENN WEST PETE LTD NEW          COM    707887105      162,337    10,991   SH         DEFINED      3                         10,991
PENN WEST PETE LTD NEW          COM    707887105       60,996     4,130   SH         DEFINED      2                          4,130
PENNANTPARK INVESTMENT COR      COM    708062104      296,965    33,292   SH         SOLE         1     33,292
PENNANTPARK INVT CORP           COM    708062104      202,484    22,700   SH         DEFINED      4                         22,700
PENNANTPARK INVT CORP           COM    708062104      728,087    81,624   SH         DEFINED      3                         81,624
PENNANTPARK INVT CORP           COM    708062104        1,873       210   SH         DEFINED      2                            210
PENNEY J C INC                  COM    708160106       18,344       685   SH         DEFINED      4                            685
PENNEY J C INC                  COM    708160106          375        14   SH         DEFINED      3                             14
PENNICHUCK CORP                 COM    708254206       95,692     3,420   SH         SOLE         1      3,420
PENNS WOODS BANCORP INC         COM    708430103       91,766     2,802   SH         SOLE         1      2,802
PENNYMAC MORTGAGE INVESTME      COM    70931T103      322,420    20,278   SH         SOLE         1     20,278
PENSKE AUTOMOTIVE GROUP IN      COM    70959W103      521,744    32,609   SH         SOLE         1     32,609
PENSKE AUTOMOTIVE GRP INC       COM    70959W103      117,648     7,353   SH         DEFINED      4                          7,353
PENTAIR INC                     COM    709631105    6,951,452   217,165   SH         SOLE         1    217,165
PENTAIR INC                     COM    709631105        3,201       100   SH         DEFINED      4                            100
PENTAIR INC                     COM    709631105       59,859     1,870   SH         DEFINED      3                          1,870
PEOPLE S UNITED FINANCIAL       COM    712704105    1,417,123   124,309   SH         SOLE         1    124,309
PEOPLES BANCORP INC             COM    709789101       84,854     7,714   SH         SOLE         1      7,714
PEOPLES UNITED FINANCIAL INC    COM    712704105        2,314       203   SH         DEFINED      3                            203
PEOPLES UNITED FINANCIAL INC    COM    712704105        8,067       708   SH         DEFINED      2                            708
PEP BOYS MANNY MOE + JACK       COM    713278109      425,742    43,135   SH         SOLE         1     43,135
PEPCO HOLDINGS INC              COM    713291102    1,423,957    75,262   SH         SOLE         1     75,262
PEPCO HOLDINGS INC              COM    713291102       21,096     1,115   SH         DEFINED      4                          1,115
PEPCO HOLDINGS INC              COM    713291102      298,312    15,767   SH         DEFINED      2                         15,767
PEPSICO INC                     COM    713448108   59,813,042   966,285   SH         SOLE         1    966,285
PEPSICO INC                     COM    713448108      450,974     7,286   SH         DEFINED      4                          7,286
PEPSICO INC                     COM    713448108    2,328,262    37,613   SH         DEFINED      3                         37,613
PEPSICO INC                     COM    713448108    1,302,854    21,048   SH         DEFINED      2                         21,048
PEREGRINE PHARMACEUTICALS       COM    713661304       54,045    49,583   SH         SOLE         1     49,583
PEREGRINE PHARMACEUTICALS IN    COM    713661304           22        20   SH         DEFINED      3                             20
PERFICIENT INC                  COM    71375U101      149,174    20,379   SH         SOLE         1     20,379
PERICOM SEMICONDUCTOR CORP      COM    713831105      151,572    20,455   SH         SOLE         1     20,455
PERKINELMER INC                 COM    714046109      723,602    37,668   SH         SOLE         1     37,668
PERKINELMER INC                 COM    714046109       26,587     1,384   SH         DEFINED      4                          1,384
PERKINELMER INC                 COM    714046109          250        13   SH         DEFINED      3                             13
PERMIAN BASIN RTY TR            COM    714236106       26,598     1,300   SH         DEFINED      4                          1,300
PERMIAN BASIN RTY TR            COM    714236106       30,281     1,480   SH         DEFINED      3                          1,480
PERMIAN BASIN RTY TR            COM    714236106       69,237     3,384   SH         DEFINED      2                          3,384
PERNIX THERAPEUTICS HOLDIN      COM    71426V108       24,008     2,722   SH         SOLE         1      2,722
PERRIGO CO                      COM    714290103   19,647,975   202,327   SH         SOLE         1    202,327
PERRIGO CO                      COM    714290103      245,203     2,525   SH         DEFINED      4                          2,525
PERRIGO CO                      COM    714290103        1,554        16   SH         DEFINED      2                             16
PERRY ELLIS INTERNATIONAL       COM    288853104      199,618    10,618   SH         SOLE         1     10,618
PETMED EXPRESS INC              COM    716382106      159,021    17,669   SH         SOLE         1     17,669
PETROBRAS ARGENTINA S A         COM    71646J109       12,939       941   SH         DEFINED      4                            941
PETROBRAS ARGENTINA S A         COM    71646J109          481        35   SH         DEFINED      3                             35
PETROCHINA CO LTD               COM    71646E100       29,520       245   SH         DEFINED      4                            245
PETROCHINA CO LTD               COM    71646E100        1,928        16   SH         DEFINED      2                             16
PETROLEO BRASILEIRO SA PETRO    COM    71654V408       97,658     4,350   SH         DEFINED      4                          4,350
PETROLEO BRASILEIRO SA PETRO    COM    71654V408      102,735     4,576   SH         DEFINED      3                          4,576
PETROLEO BRASILEIRO SA PETRO    COM    71654V101          870        42   SH         DEFINED      2                             42
PETROLEO BRASILEIRO SA PETRO    COM    71654V408       11,382       507   SH         DEFINED      2                            507
PETROLEUM & RES CORP            COM    716549100        6,628       293   SH         DEFINED      4                            293
PETROLEUM & RES CORP            COM    716549100        4,524       200   SH         DEFINED      3                            200
PETROLEUM & RES CORP            COM    716549100        9,048       400   SH         DEFINED      2                            400
PETROLEUM DEV CORP              COM    716578109       21,329     1,100   SH         DEFINED      3                          1,100
PETROLEUM DEVELOPMENT CORP      COM    716578109      373,393    19,257   SH         SOLE         1     19,257
PETROQUEST ENERGY INC           COM    716748108      828,091   150,562   SH         SOLE         1    150,562
PETROQUEST ENERGY INC           COM    716748108       27,500     5,000   SH         DEFINED      3                          5,000
PETSMART INC                    COM    716768106   10,497,914   246,141   SH         SOLE         1    246,141
PF CHANG S CHINA BISTRO IN      COM    69333Y108      506,255    18,585   SH         SOLE         1     18,585
PFIZER INC                      COM    717081103   84,992,003 4,807,240   SH         SOLE         1  4,807,240
PFIZER INC                      COM    717081103      936,050    52,944   SH         DEFINED      4                         52,944
PFIZER INC                      COM    717081103    1,166,002    65,950   SH         DEFINED      3                         65,950
PFIZER INC                      COM    717081103    1,482,396    83,846   SH         DEFINED      2                         83,846
PG&E CORP                       COM    69331C108       63,450     1,500   SH         DEFINED      4                          1,500
PG&E CORP                       COM    69331C108       65,751     1,554   SH         DEFINED      3                          1,554
PG&E CORP                       COM    69331C108       70,561     1,668   SH         DEFINED      2                          1,668
PHARMACEUTICAL PRODUCT DEV      COM    717124101    6,371,121   248,290   SH         SOLE         1    248,290
PHARMACYCLICS INC               COM    716933106      396,766    33,539   SH         SOLE         1     33,539
PHARMASSET INC                  COM    71715N106       91,843     1,115   SH         SOLE         1      1,115
PHARMATHENE INC                 COM    71714G102       45,827    26,038   SH         SOLE         1     26,038
PHARMATHENE INC                 COM    71714G102        1,760     1,000   SH         DEFINED      3                          1,000
PHARMATHENE INC                 COM    71714G102          598       340   SH         DEFINED      2                            340
PHARMERICA CORP                 COM    71714F104      343,293    24,057   SH         SOLE         1     24,057
PHARMERICA CORP                 COM    71714F104        2,611       183   SH         DEFINED      3                            183
PHARMERICA CORP                 COM    71714F104           14         1   SH         DEFINED      2                              1






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
PHAZAR CORP                     COM    71722R108        2,625     1,500   SH         DEFINED      4                          1,500
PHH CORP                        COM    693320202      660,695    41,088   SH         SOLE         1     41,088
PHH CORP                        COM    693320202          289        18   SH         DEFINED      3                             18
PHI INC NON VOTING              COM    69336T205      182,366     9,528   SH         SOLE         1      9,528
PHILIP MORRIS INTERNATIONA      COM    718172109   68,210,596 1,093,469   SH         SOLE         1  1,093,469
PHILIP MORRIS INTL INC          COM    718172109      391,883     6,282   SH         DEFINED      4                          6,282
PHILIP MORRIS INTL INC          COM    718172109    2,142,776    34,350   SH         DEFINED      3                         34,350
PHILIP MORRIS INTL INC          COM    718172109      693,703    11,121   SH         DEFINED      2                         11,121
PHILIPPINE LONG DISTANCE TEL    COM    718252604       13,373       270   SH         DEFINED      3                            270
PHOENIX COMPANIES INC           COM    71902E109      103,632    84,944   SH         SOLE         1     84,944
PHOENIX COS INC NEW             COM    71902E109           32        26   SH         DEFINED      3                             26
PHOTRONICS INC                  COM    719405102      213,821    42,936   SH         SOLE         1     42,936
PICO HLDGS INC                  COM    693366205        6,153       300   SH         DEFINED      2                            300
PICO HOLDINGS INC               COM    693366205      340,056    16,580   SH         SOLE         1     16,580
PIEDMONT NAT GAS INC            COM    720186105      235,829     8,163   SH         DEFINED      2                          8,163
PIEDMONT NATURAL GAS CO         COM    720186105    1,699,368    58,822   SH         SOLE         1     58,822
PIEDMONT OFFICE REALTY TR IN    COM    720190206      244,232    15,104   SH         DEFINED      4                         15,104
PIEDMONT OFFICE REALTY TR IN    COM    720190206    1,350,549    83,522   SH         DEFINED      3                         83,522
PIEDMONT OFFICE REALTY TR IN    COM    720190206    2,013,652   124,530   SH         DEFINED      2                        124,530
PIEDMONT OFFICE REALTY TRU      COM    720190206       87,884     5,435   SH         SOLE         1      5,435
PIER 1 IMPORTS INC              COM    720279108      760,092    77,719   SH         SOLE         1     77,719
PIKE ELECTRIC CORP              COM    721283109       80,367    11,871   SH         SOLE         1     11,871
PILGRIM S PRIDE CORP            COM    72147K108      157,862    36,970   SH         SOLE         1     36,970
PILGRIMS PRIDE CORP NEW         COM    72147K108       23,272     5,450   SH         DEFINED      2                          5,450
PIMCO CA MUNICIPAL INCOME FD    COM    72200N106      210,880    16,000   SH         DEFINED      2                         16,000
PIMCO CALIF MUN INCOME FD II    COM    72201C109       53,368     5,600   SH         DEFINED      4                          5,600
PIMCO CALIF MUN INCOME FD II    COM    72200M108       35,606     3,800   SH         DEFINED      3                          3,800
PIMCO CORPORATE INCOME FD       COM    72200U100       90,999     6,454   SH         DEFINED      4                          6,454
PIMCO CORPORATE INCOME FD       COM    72200U100       14,100     1,000   SH         DEFINED      3                          1,000
PIMCO CORPORATE OPP FD          COM    72201B101       23,966     1,449   SH         DEFINED      4                          1,449
PIMCO CORPORATE OPP FD          COM    72201B101       71,122     4,300   SH         DEFINED      3                          4,300
PIMCO CORPORATE OPP FD          COM    72201B101      239,747    14,495   SH         DEFINED      2                         14,495
PIMCO ETF TR                    COM    72201R205      471,719     8,897   SH         DEFINED      3                          8,897
PIMCO ETF TR                    COM    72201R304       10,729       171   SH         DEFINED      3                            171
PIMCO ETF TR                    COM    72201R825       16,680       300   SH         DEFINED      3                            300
PIMCO ETF TR                    COM    72201R866       31,434       600   SH         DEFINED      3                            600
PIMCO ETF TR                    COM    72201R106       28,141       550   SH         DEFINED      2                            550
PIMCO ETF TR                    COM    72201R833       97,207       968   SH         DEFINED      2                            968
PIMCO ETF TR                    COM    72201R866       52,390     1,000   SH         DEFINED      2                          1,000
PIMCO ETF TR                    COM    72201R874       50,513     1,000   SH         DEFINED      2                          1,000
PIMCO GLOBAL STOCKSPLS INCM     COM    722011103       25,675     1,440   SH         DEFINED      4                          1,440
PIMCO GLOBAL STOCKSPLS INCM     COM    722011103       17,830     1,000   SH         DEFINED      3                          1,000
PIMCO HIGH INCOME FD            COM    722014107      133,605    11,730   SH         DEFINED      4                         11,730
PIMCO HIGH INCOME FD            COM    722014107      179,290    15,741   SH         DEFINED      3                         15,741
PIMCO HIGH INCOME FD            COM    722014107       82,008     7,200   SH         DEFINED      2                          7,200
PIMCO INCOME OPPORTUNITY FD     COM    72202B100      155,043     6,300   SH         DEFINED      3                          6,300
PIMCO INCOME STRATEGY FUND      COM    72201H108       33,146     3,305   SH         DEFINED      4                          3,305
PIMCO INCOME STRATEGY FUND      COM    72201H108        9,478       945   SH         DEFINED      3                            945
PIMCO INCOME STRATEGY FUND      COM    72201H108       14,042     1,400   SH         DEFINED      2                          1,400
PIMCO INCOME STRATEGY FUND I    COM    72201J104          877       100   SH         DEFINED      2                            100
PIMCO MUN INCOME FD II          COM    72200W106          111        10   SH         DEFINED      4                             10
PIMCO MUN INCOME FD III         COM    72201A103       13,782     1,282   SH         DEFINED      3                          1,282
PIMCO MUNICIPAL INCOME FD       COM    72200R107      183,589    13,529   SH         DEFINED      3                         13,529
PIMCO STRATEGIC GBL GOV FD I    COM    72200X104       21,420     2,000   SH         DEFINED      4                          2,000
PIMCO STRATEGIC GBL GOV FD I    COM    72200X104      103,544     9,668   SH         DEFINED      3                          9,668
PIMCO STRATEGIC GBL GOV FD I    COM    72200X104       63,189     5,900   SH         DEFINED      2                          5,900
PINNACLE ENTERTAINMENT INC      COM    723456109      460,674    50,735   SH         SOLE         1     50,735
PINNACLE ENTMT INC              COM    723456109          699        77   SH         DEFINED      3                             77
PINNACLE FINANCIAL PARTNER      COM    72346Q104      305,926    27,964   SH         SOLE         1     27,964
PINNACLE WEST CAP CORP          COM    723484101          816        19   SH         DEFINED      3                             19
PINNACLE WEST CAP CORP          COM    723484101       10,735       250   SH         DEFINED      2                            250
PINNACLE WEST CAPITAL           COM    723484101    1,556,919    36,258   SH         SOLE         1     36,258
PIONEER DRILLING CO             COM    723655106        7,180     1,000   SH         DEFINED      4                          1,000
PIONEER DRILLING COMPANY        COM    723655106      362,439    50,479   SH         SOLE         1     50,479
PIONEER FLOATING RATE TR        COM    72369J102        9,742       820   SH         DEFINED      2                            820
PIONEER HIGH INCOME TR          COM    72369H106      150,911     9,230   SH         DEFINED      3                          9,230
PIONEER HIGH INCOME TR          COM    72369H106        8,175       500   SH         DEFINED      2                            500
PIONEER MUN HIGH INCOME ADV     COM    723762100       64,518     4,655   SH         DEFINED      3                          4,655
PIONEER MUN HIGH INCOME TR      COM    723763108        7,743       534   SH         DEFINED      3                            534
PIONEER NAT RES CO              COM    723787107      137,328     2,088   SH         DEFINED      3                          2,088
PIONEER NATURAL RESOURCES       COM    723787107    3,239,633    49,257   SH         SOLE         1     49,257
PIONEER SOUTHWST ENRG PRTNR     COM    72388B106       14,019       580   SH         DEFINED      3                            580
PIPER JAFFRAY COS               COM    724078100      231,781    12,927   SH         SOLE         1     12,927
PIPER JAFFRAY COS               COM    724078100           36         2   SH         DEFINED      3                              2
PITNEY BOWES INC                COM    724479100    1,254,900    66,750   SH         SOLE         1     66,750
PITNEY BOWES INC                COM    724479100      382,693    20,356   SH         DEFINED      4                         20,356
PITNEY BOWES INC                COM    724479100      254,209    13,522   SH         DEFINED      3                         13,522
PITTSBURGH & W VA RR            COM    724819107        8,763       701   SH         DEFINED      3                            701
PIXELWORKS INC                  COM    72581M305        2,514     1,197   SH         DEFINED      3                          1,197
PLAINS ALL AMERN PIPELINE L     COM    726503105       39,476       670   SH         DEFINED      4                            670
PLAINS ALL AMERN PIPELINE L     COM    726503105      319,405     5,421   SH         DEFINED      3                          5,421






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
PLAINS ALL AMERN PIPELINE L     COM    726503105      181,233     3,076   SH         DEFINED      2                          3,076
PLAINS EXPLORATION + PRODU      COM    726505100    7,039,419   309,970   SH         SOLE         1    309,970
PLANTRONICS INC                 COM    727493108    3,878,702   136,334   SH         SOLE         1    136,334
PLATINUM UNDERWRITERS HLDG      COM    G7127P100      837,046    27,221   SH         SOLE         1     27,221
PLEXUS CORP                     COM    729132100      658,491    29,111   SH         SOLE         1     29,111
PLEXUS CORP                     COM    729132100      113,010     4,996   SH         DEFINED      4                          4,996
PLEXUS CORP                     COM    729132100        7,917       350   SH         DEFINED      2                            350
PLUM CREEK TIMBER CO            COM    729251108    1,818,318    52,386   SH         SOLE         1     52,386
PLUM CREEK TIMBER CO INC        COM    729251108       40,368     1,163   SH         DEFINED      4                          1,163
PLUM CREEK TIMBER CO INC        COM    729251108       87,157     2,511   SH         DEFINED      3                          2,511
PLUM CREEK TIMBER CO INC        COM    729251108      137,952     3,974   SH         DEFINED      2                          3,974
PLURISTEM THERAPEUTICS INC      COM    72940R102           17         8   SH         DEFINED      3                              8
PLX TECHNOLOGY INC              COM    693417107       97,870    32,515   SH         SOLE         1     32,515
PMC   SIERRA INC                COM    69344F106       37,716     6,307   SH         SOLE         1      6,307
PMFG INC                        COM    69345P103      202,077    12,814   SH         SOLE         1     12,814
PMI GROUP INC                   COM    69344M101          707     3,536   SH         DEFINED      4                          3,536
PMI GROUP INC/THE               COM    69344M101       22,255   111,273   SH         SOLE         1    111,273
PNC FINANCIAL SERVICES GRO      COM    693475105   12,126,146   251,632   SH         SOLE         1    251,632
PNC FINL SVCS GROUP INC         COM    693475105       30,456       632   SH         DEFINED      4                            632
PNC FINL SVCS GROUP INC         COM    693475105       86,895     1,803   SH         DEFINED      3                          1,803
PNC FINL SVCS GROUP INC         COM    693475105       23,999       498   SH         DEFINED      2                            498
PNM RESOURCES INC               COM    69349H107    4,127,298   251,205   SH         SOLE         1    251,205
POLARIS INDS INC                COM    731068102        3,998        80   SH         DEFINED      3                             80
POLARIS INDUSTRIES INC          COM    731068102    7,538,124   150,853   SH         SOLE         1    150,853
POLYCOM INC                     COM    73172K104   12,374,877   673,646   SH         SOLE         1    673,646
POLYONE CORP                    COM    73179P106        2,142       200   SH         DEFINED      2                            200
POLYONE CORPORATION             COM    73179P106      818,619    76,435   SH         SOLE         1     76,435
POLYPORE INTERNATIONAL INC      COM    73179V103       30,521       540   SH         SOLE         1        540
POOL CORP                       COM    73278L105    1,033,429    39,474   SH         SOLE         1     39,474
POPULAR INC                     COM    733174106       42,843    28,562   SH         SOLE         1     28,562
PORTFOLIO RECOVERY ASSOCIA      COM    73640Q105      871,889    14,013   SH         SOLE         1     14,013
PORTLAND GENERAL ELECTRIC       COM    736508847    1,303,353    55,017   SH         SOLE         1     55,017
POSCO                           COM    693483109       21,283       280   SH         DEFINED      4                            280
POSCO                           COM    693483109        7,601       100   SH         DEFINED      3                            100
POST PROPERTIES INC             COM    737464107    1,420,310    40,884   SH         SOLE         1     40,884
POTASH CORP OF SASKATCHEWA      COM    73755L107    1,888,714    43,700   SH         SOLE         1     43,700
POTASH CORP SASK INC            COM    73755L107       86,008     1,990   SH         DEFINED      4                          1,990
POTASH CORP SASK INC            COM    73755L107      457,829    10,593   SH         DEFINED      3                         10,593
POTASH CORP SASK INC            COM    73755L107       25,932       600   SH         DEFINED      2                            600
POTLATCH CORP                   COM    737630103    3,669,527   116,419   SH         SOLE         1    116,419
POTLATCH CORP NEW               COM    737630103       64,871     2,058   SH         DEFINED      2                          2,058
POWELL INDUSTRIES INC           COM    739128106      224,006     7,233   SH         SOLE         1      7,233
POWER INTEGRATIONS INC          COM    739276103      723,712    23,643   SH         SOLE         1     23,643
POWER ONE INC                   COM    73930R102      223,776    49,728   SH         SOLE         1     49,728
POWERSECURE INTERNATIONAL       COM    73936N105       65,061    13,755   SH         SOLE         1     13,755
POWERSECURE INTL INC            COM    73936N105        1,821       385   SH         DEFINED      2                            385
POWERSHARES ACTIVE MNG ETF T    COM    73935B201        1,654       117   SH         DEFINED      3                            117
POWERSHARES ACTIVE MNG ETF T    COM    73935B508       17,796       400   SH         DEFINED      3                            400
POWERSHARES ACTIVE MNG ETF T    COM    73935B300       36,261     1,504   SH         DEFINED      2                          1,504
POWERSHARES ACTIVE MNG ETF T    COM    73935B508      372,070     8,363   SH         DEFINED      2                          8,363
POWERSHARES DB CMDTY IDX TRA    COM    73935S105      273,877    10,636   SH         DEFINED      4                         10,636
POWERSHARES DB CMDTY IDX TRA    COM    73935S105      311,668    12,104   SH         DEFINED      3                         12,104
POWERSHARES DB CMDTY IDX TRA    COM    73935S105      275,113    10,684   SH         DEFINED      2                         10,684
POWERSHARES DB G10 CURCY HAR    COM    73935Y102       25,635     1,117   SH         DEFINED      3                          1,117
POWERSHARES ETF TR II           COM    73937B308        1,296       183   SH         DEFINED      4                            183
POWERSHARES ETF TR II           COM    73937B407       28,820     1,000   SH         DEFINED      4                          1,000
POWERSHARES ETF TR II           COM    73937B506        2,154        91   SH         DEFINED      4                             91
POWERSHARES ETF TR II           COM    73937B704        1,912        71   SH         DEFINED      4                             71
POWERSHARES ETF TR II           COM    73937B886        2,209        80   SH         DEFINED      4                             80
POWERSHARES ETF TR II           COM    73937B407      462,849    16,060   SH         DEFINED      3                         16,060
POWERSHARES ETF TR II           COM    73937B209      220,480     6,400   SH         DEFINED      2                          6,400
POWERSHARES ETF TR II           COM    73937B407      298,287    10,350   SH         DEFINED      2                         10,350
POWERSHARES ETF TR II           COM    73937B704        2,127        79   SH         DEFINED      2                             79
POWERSHARES ETF TR II           COM    73937B779      586,457    24,745   SH         DEFINED      2                         24,745
POWERSHARES ETF TR II           COM    73937B860       30,628     1,305   SH         DEFINED      2                          1,305
POWERSHARES ETF TRUST           COM    73935X229      308,884    19,126   SH         DEFINED      4                         19,126
POWERSHARES ETF TRUST           COM    73935X302       44,687     5,443   SH         DEFINED      4                          5,443
POWERSHARES ETF TRUST           COM    73935X385        4,709       150   SH         DEFINED      4                            150
POWERSHARES ETF TRUST           COM    73935X575       10,521       700   SH         DEFINED      4                            700
POWERSHARES ETF TRUST           COM    73935X583       77,582     1,586   SH         DEFINED      4                          1,586
POWERSHARES ETF TRUST           COM    73935X625       12,936       800   SH         DEFINED      4                            800
POWERSHARES ETF TRUST           COM    73935X666       28,005     2,812   SH         DEFINED      4                          2,812
POWERSHARES ETF TRUST           COM    73935X716       71,721     5,216   SH         DEFINED      4                          5,216
POWERSHARES ETF TRUST           COM    73935X732       20,190     1,500   SH         DEFINED      4                          1,500
POWERSHARES ETF TRUST           COM    73935X773        1,850        85   SH         DEFINED      4                             85
POWERSHARES ETF TRUST           COM    73935X823        2,409       205   SH         DEFINED      4                            205
POWERSHARES ETF TRUST           COM    73935X104        4,589       125   SH         DEFINED      3                            125
POWERSHARES ETF TRUST           COM    73935X153       37,705     1,717   SH         DEFINED      3                          1,717
POWERSHARES ETF TRUST           COM    73935X229       88,760     5,496   SH         DEFINED      3                          5,496
POWERSHARES ETF TRUST           COM    73935X302        1,494       182   SH         DEFINED      3                            182
POWERSHARES ETF TRUST           COM    73935X351        5,186       200   SH         DEFINED      3                            200






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
POWERSHARES ETF TRUST           COM    73935X385       20,874       665   SH         DEFINED      3                            665
POWERSHARES ETF TRUST           COM    73935X401       41,836     2,165   SH         DEFINED      3                          2,165
POWERSHARES ETF TRUST           COM    73935X500        7,352     1,349   SH         DEFINED      3                          1,349
POWERSHARES ETF TRUST           COM    73935X575       42,039     2,797   SH         DEFINED      3                          2,797
POWERSHARES ETF TRUST           COM    73935X583       36,927       755   SH         DEFINED      3                            755
POWERSHARES ETF TRUST           COM    73935X591        1,537       100   SH         DEFINED      3                            100
POWERSHARES ETF TRUST           COM    73935X609       36,670     2,548   SH         DEFINED      3                          2,548
POWERSHARES ETF TRUST           COM    73935X625       22,638     1,400   SH         DEFINED      3                          1,400
POWERSHARES ETF TRUST           COM    73935X633        2,935       500   SH         DEFINED      3                            500
POWERSHARES ETF TRUST           COM    73935X641       18,875     1,420   SH         DEFINED      3                          1,420
POWERSHARES ETF TRUST           COM    73935X690      119,927     7,335   SH         DEFINED      3                          7,335
POWERSHARES ETF TRUST           COM    73935X708       38,080     2,222   SH         DEFINED      3                          2,222
POWERSHARES ETF TRUST           COM    73935X716       45,272     3,293   SH         DEFINED      3                          3,293
POWERSHARES ETF TRUST           COM    73935X773        1,937        89   SH         DEFINED      3                             89
POWERSHARES ETF TRUST           COM    73935X807       26,310     1,433   SH         DEFINED      3                          1,433
POWERSHARES ETF TRUST           COM    73935X880       22,900     1,699   SH         DEFINED      3                          1,699
POWERSHARES ETF TRUST           COM    73935X567       25,948       495   SH         DEFINED      3                            495
POWERSHARES ETF TRUST           COM    73935X104       18,425       500   SH         DEFINED      2                            500
POWERSHARES ETF TRUST           COM    73935X153      593,776    27,039   SH         DEFINED      2                         27,039
POWERSHARES ETF TRUST           COM    73935X161       10,980       549   SH         DEFINED      2                            549
POWERSHARES ETF TRUST           COM    73935X229      717,771    44,444   SH         DEFINED      2                         44,444
POWERSHARES ETF TRUST           COM    73935X278        7,405       356   SH         DEFINED      2                            356
POWERSHARES ETF TRUST           COM    73935X302        2,299       280   SH         DEFINED      2                            280
POWERSHARES ETF TRUST           COM    73935X500       10,110     1,855   SH         DEFINED      2                          1,855
POWERSHARES ETF TRUST           COM    73935X575       38,567     2,566   SH         DEFINED      2                          2,566
POWERSHARES ETF TRUST           COM    73935X583      108,642     2,221   SH         DEFINED      2                          2,221
POWERSHARES ETF TRUST           COM    73935X609        4,029       280   SH         DEFINED      2                            280
POWERSHARES ETF TRUST           COM    73935X625        9,864       610   SH         DEFINED      2                            610
POWERSHARES ETF TRUST           COM    73935X658        9,510       500   SH         DEFINED      2                            500
POWERSHARES ETF TRUST           COM    73935X716       89,100     6,480   SH         DEFINED      2                          6,480
POWERSHARES ETF TRUST           COM    73935X732       70,463     5,235   SH         DEFINED      2                          5,235
POWERSHARES ETF TRUST           COM    73935X740        3,164       360   SH         DEFINED      2                            360
POWERSHARES ETF TRUST           COM    73935X757      296,105    18,312   SH         DEFINED      2                         18,312
POWERSHARES ETF TRUST           COM    73935X773        6,790       312   SH         DEFINED      2                            312
POWERSHARES ETF TRUST           COM    73935X799       29,484     1,200   SH         DEFINED      2                          1,200
POWERSHARES ETF TRUST           COM    73935X807        5,508       300   SH         DEFINED      2                            300
POWERSHARES ETF TRUST           COM    73935X815        2,309       111   SH         DEFINED      2                            111
POWERSHARES ETF TRUST           COM    73935X823        6,533       556   SH         DEFINED      2                            556
POWERSHARES ETF TRUST           COM    73935X856       10,986       600   SH         DEFINED      2                            600
POWERSHARES ETF TRUST           COM    73935X864       64,571     5,130   SH         DEFINED      2                          5,130
POWERSHARES ETF TRUST           COM    73935X146        6,744       212   SH         DEFINED      2                            212
POWERSHARES ETF TRUST           COM    73935X567      264,354     5,043   SH         DEFINED      2                          5,043
POWERSHARES ETF TRUST II        COM    73936Q702       58,857     2,300   SH         DEFINED      4                          2,300
POWERSHARES ETF TRUST II        COM    73936Q207        7,788       545   SH         DEFINED      3                            545
POWERSHARES ETF TRUST II        COM    73936Q843      137,160     6,000   SH         DEFINED      3                          6,000
POWERSHARES ETF TRUST II        COM    73936Q876       24,894       600   SH         DEFINED      3                            600
POWERSHARES ETF TRUST II        COM    73936Q207      347,290    24,303   SH         DEFINED      2                         24,303
POWERSHARES ETF TRUST II        COM    73936Q108       77,592     4,714   SH         DEFINED      2                          4,714
POWERSHARES ETF TRUST II        COM    73936Q702      554,755    21,679   SH         DEFINED      2                         21,679
POWERSHARES ETF TRUST II        COM    73936Q769      207,897     9,039   SH         DEFINED      2                          9,039
POWERSHARES ETF TRUST II        COM    73936Q835      362,116    13,753   SH         DEFINED      2                         13,753
POWERSHARES ETF TRUST II        COM    73936Q884        5,328       227   SH         DEFINED      2                            227
POWERSHARES GLOBAL ETF TRUST    COM    73936T474       48,500     2,000   SH         DEFINED      4                          2,000
POWERSHARES GLOBAL ETF TRUST    COM    73936T557       22,815     1,300   SH         DEFINED      4                          1,300
POWERSHARES GLOBAL ETF TRUST    COM    73936T565       69,014     5,082   SH         DEFINED      4                          5,082
POWERSHARES GLOBAL ETF TRUST    COM    73936T573      107,555     4,113   SH         DEFINED      4                          4,113
POWERSHARES GLOBAL ETF TRUST    COM    73936T771       34,126     1,647   SH         DEFINED      4                          1,647
POWERSHARES GLOBAL ETF TRUST    COM    73936T805       70,568     4,850   SH         DEFINED      4                          4,850
POWERSHARES GLOBAL ETF TRUST    COM    73936T474      242,500    10,000   SH         DEFINED      3                         10,000
POWERSHARES GLOBAL ETF TRUST    COM    73936T557       67,936     3,871   SH         DEFINED      3                          3,871
POWERSHARES GLOBAL ETF TRUST    COM    73936T565      154,510    11,378   SH         DEFINED      3                         11,378
POWERSHARES GLOBAL ETF TRUST    COM    73936T573      369,217    14,119   SH         DEFINED      3                         14,119
POWERSHARES GLOBAL ETF TRUST    COM    73936T623       15,620     1,000   SH         DEFINED      3                          1,000
POWERSHARES GLOBAL ETF TRUST    COM    73936T763       46,542     2,447   SH         DEFINED      3                          2,447
POWERSHARES GLOBAL ETF TRUST    COM    73936T433       17,500       700   SH         DEFINED      3                            700
POWERSHARES GLOBAL ETF TRUST    COM    73936T441        9,596       400   SH         DEFINED      3                            400
POWERSHARES GLOBAL ETF TRUST    COM    73936T474    2,374,463    97,916   SH         DEFINED      2                         97,916
POWERSHARES GLOBAL ETF TRUST    COM    73936T557      540,730    30,811   SH         DEFINED      2                         30,811
POWERSHARES GLOBAL ETF TRUST    COM    73936T565       46,172     3,400   SH         DEFINED      2                          3,400
POWERSHARES GLOBAL ETF TRUST    COM    73936T573      104,705     4,004   SH         DEFINED      2                          4,004
POWERSHARES GLOBAL ETF TRUST    COM    73936T433       35,000     1,400   SH         DEFINED      2                          1,400
POWERSHARES GLOBAL ETF TRUST    COM    73936T615        6,086       694   SH         DEFINED      2                            694
POWERSHARES INDIA ETF TR        COM    73935L100       26,601     1,460   SH         DEFINED      4                          1,460
POWERSHARES INDIA ETF TR        COM    73935L100       28,095     1,542   SH         DEFINED      3                          1,542
POWERSHARES INDIA ETF TR        COM    73935L100        9,110       500   SH         DEFINED      2                            500
POWERSHARES QQQ TRUST           COM    73935A104      333,626     6,356   SH         DEFINED      4                          6,356
POWERSHARES QQQ TRUST           COM    73935A104      759,365    14,467   SH         DEFINED      3                         14,467
POWERSHARES QQQ TRUST           COM    73935A104    3,929,498    74,862   SH         DEFINED      2                         74,862
POWERSHS DB MULTI SECT COMM     COM    73936B101       18,306       712   SH         DEFINED      4                            712
POWERSHS DB MULTI SECT COMM     COM    73936B200       33,888       600   SH         DEFINED      4                            600
POWERSHS DB MULTI SECT COMM     COM    73936B309       10,330       200   SH         DEFINED      4                            200






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
POWERSHS DB MULTI SECT COMM     COM    73936B408    1,293,646    43,609   SH         DEFINED      4                         43,609
POWERSHS DB MULTI SECT COMM     COM    73936B606      242,664     4,270   SH         DEFINED      4                          4,270
POWERSHS DB MULTI SECT COMM     COM    73936B705       20,887     1,126   SH         DEFINED      4                          1,126
POWERSHS DB MULTI SECT COMM     COM    73936B101       20,362       792   SH         DEFINED      3                            792
POWERSHS DB MULTI SECT COMM     COM    73936B200       30,499       540   SH         DEFINED      3                            540
POWERSHS DB MULTI SECT COMM     COM    73936B408      152,567     5,143   SH         DEFINED      3                          5,143
POWERSHS DB MULTI SECT COMM     COM    73936B507        8,064       350   SH         DEFINED      3                            350
POWERSHS DB MULTI SECT COMM     COM    73936B705       39,400     2,124   SH         DEFINED      3                          2,124
POWERSHS DB MULTI SECT COMM     COM    73936B200      318,321     5,636   SH         DEFINED      2                          5,636
POWERSHS DB MULTI SECT COMM     COM    73936B408    2,952,676    99,534   SH         DEFINED      2                         99,534
POWERSHS DB MULTI SECT COMM     COM    73936B507           69         3   SH         DEFINED      2                              3
POWERSHS DB MULTI SECT COMM     COM    73936B705       12,095       652   SH         DEFINED      2                            652
POWERSHS DB US DOLLAR INDEX     COM    73936D107      504,249    22,607   SH         DEFINED      4                         22,607
POWERSHS DB US DOLLAR INDEX     COM    73936D206        6,790       250   SH         DEFINED      4                            250
POWERSHS DB US DOLLAR INDEX     COM    73936D107       30,290     1,358   SH         DEFINED      3                          1,358
POWERSHS DB US DOLLAR INDEX     COM    73936D206       67,900     2,500   SH         DEFINED      3                          2,500
POWERSHS DB US DOLLAR INDEX     COM    73936D107    1,601,432    71,797   SH         DEFINED      2                         71,797
POWERSHS DB US DOLLAR INDEX     COM    73936D206      246,586     9,079   SH         DEFINED      2                          9,079
POWERWAVE TECHNOLOGIES INC      COM    739363109      198,920   115,651   SH         SOLE         1    115,651
POZEN INC                       COM    73941U102       46,585    19,330   SH         SOLE         1     19,330
PPG INDS INC                    COM    693506107      604,920     8,561   SH         DEFINED      4                          8,561
PPG INDS INC                    COM    693506107      628,797     8,899   SH         DEFINED      3                          8,899
PPG INDS INC                    COM    693506107       38,015       538   SH         DEFINED      2                            538
PPG INDUSTRIES INC              COM    693506107    5,319,002    75,276   SH         SOLE         1     75,276
PPL CORP                        COM    69351T106       33,535     1,175   SH         DEFINED      4                          1,175
PPL CORP                        COM    69351T106       88,560     3,103   SH         DEFINED      3                          3,103
PPL CORP                        COM    69351T601      815,785    14,760   SH         DEFINED      3                         14,760
PPL CORP                        COM    69351T106      888,448    31,130   SH         DEFINED      2                         31,130
PPL CORPORATION                 COM    69351T106    5,480,279   192,021   SH         SOLE         1    192,021
PRAXAIR INC                     COM    74005P104   25,794,497   275,936   SH         SOLE         1    275,936
PRAXAIR INC                     COM    74005P104      511,429     5,471   SH         DEFINED      4                          5,471
PRAXAIR INC                     COM    74005P104       36,476       390   SH         DEFINED      3                            390
PRAXAIR INC                     COM    74005P104       90,208       965   SH         DEFINED      2                            965
PRECISION CASTPARTS CORP        COM    740189105    6,705,301    43,132   SH         SOLE         1     43,132
PRECISION CASTPARTS CORP        COM    740189105       81,486       524   SH         DEFINED      3                            524
PRECISION CASTPARTS CORP        COM    740189105        3,109        20   SH         DEFINED      2                             20
PREFORMED LINE PRODUCTS CO      COM    740444104       81,478     1,779   SH         SOLE         1      1,779
PREMIERE GLOBAL SERVICES I      COM    740585104      244,974    38,158   SH         SOLE         1     38,158
PRESIDENTIAL LIFE CORP          COM    740884101      145,691    17,724   SH         SOLE         1     17,724
PRESTIGE BRANDS HOLDINGS I      COM    74112D101      372,896    41,204   SH         SOLE         1     41,204
PRGX GLOBAL INC                 COM    69357C503       67,336    14,266   SH         SOLE         1     14,266
PRICE T ROWE GROUP INC          COM    74144T108        2,627        55   SH         DEFINED      3                             55
PRICE T ROWE GROUP INC          COM    74144T108        4,777       100   SH         DEFINED      2                            100
PRICELINE COM INC               COM    741503403        1,348         3   SH         DEFINED      4                              3
PRICELINE COM INC               COM    741503403       25,619        57   SH         DEFINED      3                             57
PRICELINE COM INC               COM    741503403          899         2   SH         DEFINED      2                              2
PRICELINE.COM INC               COM    741503403   14,888,812    33,126   SH         SOLE         1     33,126
PRICESMART INC                  COM    741511109      809,724    12,993   SH         SOLE         1     12,993
PRICESMART INC                  COM    741511109          872        14   SH         DEFINED      3                             14
PRIMERICA INC                   COM    74164M108      535,421    24,834   SH         SOLE         1     24,834
PRIMO WATER CORP                COM    74165N105       60,483    10,724   SH         SOLE         1     10,724
PRIMORIS SERVICES CORP          COM    74164F103      203,949    19,498   SH         SOLE         1     19,498
PRIMUS GUARANTY LTD             COM    G72457107       96,947    18,396   SH         SOLE         1     18,396
PRINCIPAL FINANCIAL GROUP       COM    74251V102    2,442,851   107,757   SH         SOLE         1    107,757
PRINCIPAL FINL GROUP INC        COM    74251V102          748        33   SH         DEFINED      4                             33
PRINCIPAL FINL GROUP INC        COM    74251V102        9,867       435   SH         DEFINED      3                            435
PRINCIPAL FINL GROUP INC        COM    74251V102        8,637       381   SH         DEFINED      2                            381
PRIVATEBANCORP INC              COM    742962103      369,533    49,140   SH         SOLE         1     49,140
PROASSURANCE CORP               COM    74267C106    1,804,029    25,049   SH         SOLE         1     25,049
PROASSURANCE CORP               COM    74267C106        1,801        25   SH         DEFINED      2                             25
PROCERA NETWORKS INC            COM    74269U203      100,906    10,511   SH         SOLE         1     10,511
PROCTER & GAMBLE CO             COM    742718109    1,051,067    16,636   SH         DEFINED      4                         16,636
PROCTER & GAMBLE CO             COM    742718109    1,938,074    30,675   SH         DEFINED      3                         30,675
PROCTER & GAMBLE CO             COM    742718109    3,230,049    51,125   SH         DEFINED      2                         51,125
PROCTER + GAMBLE CO/THE         COM    742718109   83,631,935 1,323,709   SH         SOLE         1  1,323,709
PROGENICS PHARMACEUTICALS       COM    743187106      123,043    21,436   SH         SOLE         1     21,436
PROGRESS ENERGY INC             COM    743263105    5,052,061    97,681   SH         SOLE         1     97,681
PROGRESS ENERGY INC             COM    743263105      163,021     3,152   SH         DEFINED      4                          3,152
PROGRESS ENERGY INC             COM    743263105      131,627     2,545   SH         DEFINED      3                          2,545
PROGRESS ENERGY INC             COM    743263105       83,944     1,623   SH         DEFINED      2                          1,623
PROGRESS SOFTWARE CORP          COM    743312100      963,284    54,888   SH         SOLE         1     54,888
PROGRESS SOFTWARE CORP          COM    743312100          579        33   SH         DEFINED      3                             33
PROGRESSIVE CORP                COM    743315103    4,810,793   270,878   SH         SOLE         1    270,878
PROGRESSIVE CORP OHIO           COM    743315103       21,578     1,215   SH         DEFINED      3                          1,215
PROLOGIS INC                    COM    74340W103    4,533,368   186,943   SH         SOLE         1    186,943
PROLOGIS INC                    COM    74340W103        1,601        66   SH         DEFINED      2                             66
PROLOR BIOTECH INC              COM    74344F106       90,273    22,180   SH         DEFINED      3                         22,180
PROS HOLDINGS INC               COM    74346Y103      202,437    15,705   SH         SOLE         1     15,705
PROSHARES TR                    COM    74347R107       62,081     1,635   SH         DEFINED      4                          1,635
PROSHARES TR                    COM    74347R297      985,511    50,695   SH         DEFINED      4                         50,695
PROSHARES TR                    COM    74347R313       11,621       368   SH         DEFINED      4                            368






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
PROSHARES TR                    COM    74347R503      964,735    20,927   SH         DEFINED      4                         20,927
PROSHARES TR                    COM    74347R602        8,552       251   SH         DEFINED      4                            251
PROSHARES TR                    COM    74347R701      131,483     2,958   SH         DEFINED      4                          2,958
PROSHARES TR                    COM    74347R719       14,747       450   SH         DEFINED      4                            450
PROSHARES TR                    COM    74347R776        8,887       350   SH         DEFINED      4                            350
PROSHARES TR                    COM    74347R842        4,357       160   SH         DEFINED      4                            160
PROSHARES TR                    COM    74347R867        4,078       200   SH         DEFINED      4                            200
PROSHARES TR                    COM    74347R883      109,607     4,300   SH         DEFINED      4                          4,300
PROSHARES TR                    COM    74347X146       18,988       225   SH         DEFINED      4                            225
PROSHARES TR                    COM    74347X237      206,682     3,800   SH         DEFINED      4                          3,800
PROSHARES TR                    COM    74347X567       22,685       500   SH         DEFINED      4                            500
PROSHARES TR                    COM    74347X591        1,976        50   SH         DEFINED      4                             50
PROSHARES TR                    COM    74347X633        5,535       150   SH         DEFINED      4                            150
PROSHARES TR                    COM    74348A202      213,051     3,650   SH         DEFINED      4                          3,650
PROSHARES TR                    COM    74347X344       22,067       640   SH         DEFINED      4                            640
PROSHARES TR                    COM    74347R903      144,000       750   SH  C      DEFINED      4                            750
PROSHARES TR                    COM    74347R107      183,072     4,821   SH         DEFINED      3                          4,821
PROSHARES TR                    COM    74347R206       12,620       173   SH         DEFINED      3                            173
PROSHARES TR                    COM    74347R297       33,048     1,700   SH         DEFINED      3                          1,700
PROSHARES TR                    COM    74347R305       17,967       373   SH         DEFINED      3                            373
PROSHARES TR                    COM    74347R404        3,143        70   SH         DEFINED      3                             70
PROSHARES TR                    COM    74347R503    1,522,453    33,025   SH         DEFINED      3                         33,025
PROSHARES TR                    COM    74347R602      454,835    13,350   SH         DEFINED      3                         13,350
PROSHARES TR                    COM    74347R719       79,303     2,420   SH         DEFINED      3                          2,420
PROSHARES TR                    COM    74347R727       13,050       416   SH         DEFINED      3                            416
PROSHARES TR                    COM    74347R776        5,078       200   SH         DEFINED      3                            200
PROSHARES TR                    COM    74347R842       60,505     2,222   SH         DEFINED      3                          2,222
PROSHARES TR                    COM    74347R867       22,490     1,103   SH         DEFINED      3                          1,103
PROSHARES TR                    COM    74347R883        7,647       300   SH         DEFINED      3                            300
PROSHARES TR                    COM    74347X146       10,633       126   SH         DEFINED      3                            126
PROSHARES TR                    COM    74347X237        4,569        84   SH         DEFINED      3                             84
PROSHARES TR                    COM    74347X302          449         8   SH         DEFINED      3                              8
PROSHARES TR                    COM    74347X567        4,083        90   SH         DEFINED      3                             90
PROSHARES TR                    COM    74347X575        4,176        90   SH         DEFINED      3                             90
PROSHARES TR                    COM    74347X633       82,914     2,247   SH         DEFINED      3                          2,247
PROSHARES TR                    COM    74347X849        4,340       135   SH         DEFINED      3                            135
PROSHARES TR                    COM    74348A301       10,728       175   SH         DEFINED      3                            175
PROSHARES TR                    COM    74347R214       16,360       289   SH         DEFINED      3                            289
PROSHARES TR                    COM    74347R487       38,648     1,230   SH         DEFINED      3                          1,230
PROSHARES TR                    COM    74347R495        2,859       109   SH         DEFINED      3                            109
PROSHARES TR                    COM    74347R511        7,006       200   SH         DEFINED      3                            200
PROSHARES TR                    COM    74347R537       18,335       440   SH         DEFINED      3                            440
PROSHARES TR                    COM    74347R784      931,395    30,045   SH         DEFINED      3                         30,045
PROSHARES TR                    COM    74347X310       17,404       455   SH         DEFINED      3                            455
PROSHARES TR                    COM    74347X708       28,158       500   SH         DEFINED      3                            500
PROSHARES TR                    COM    74347R107          342         9   SH         DEFINED      2                              9
PROSHARES TR                    COM    74347R206        6,493        89   SH         DEFINED      2                             89
PROSHARES TR                    COM    74347R230      487,025    11,132   SH         DEFINED      2                         11,132
PROSHARES TR                    COM    74347R248      358,019     6,964   SH         DEFINED      2                          6,964
PROSHARES TR                    COM    74347R297      395,137    20,326   SH         DEFINED      2                         20,326
PROSHARES TR                    COM    74347R305      258,817     5,373   SH         DEFINED      2                          5,373
PROSHARES TR                    COM    74347R339        6,258       200   SH         DEFINED      2                            200
PROSHARES TR                    COM    74347R404        9,070       202   SH         DEFINED      2                            202
PROSHARES TR                    COM    74347R503      925,043    20,066   SH         DEFINED      2                         20,066
PROSHARES TR                    COM    74347R602      369,694    10,851   SH         DEFINED      2                         10,851
PROSHARES TR                    COM    74347R701       12,668       285   SH         DEFINED      2                            285
PROSHARES TR                    COM    74347R719      345,166    10,533   SH         DEFINED      2                         10,533
PROSHARES TR                    COM    74347R776       43,798     1,725   SH         DEFINED      2                          1,725
PROSHARES TR                    COM    74347R800        2,264        63   SH         DEFINED      2                             63
PROSHARES TR                    COM    74347R826      778,873    21,738   SH         DEFINED      2                         21,738
PROSHARES TR                    COM    74347R867        2,488       122   SH         DEFINED      2                            122
PROSHARES TR                    COM    74347R883    2,628,401   103,115   SH         DEFINED      2                        103,115
PROSHARES TR                    COM    74347X146      337,982     4,005   SH         DEFINED      2                          4,005
PROSHARES TR                    COM    74347X237       29,806       548   SH         DEFINED      2                            548
PROSHARES TR                    COM    74347X302        4,493        80   SH         DEFINED      2                             80
PROSHARES TR                    COM    74347X567       33,392       736   SH         DEFINED      2                            736
PROSHARES TR                    COM    74347X625        5,575       137   SH         DEFINED      2                            137
PROSHARES TR                    COM    74347X849       28,806       896   SH         DEFINED      2                            896
PROSHARES TR                    COM    74347X880        8,191       220   SH         DEFINED      2                            220
PROSHARES TR                    COM    74348A202        2,919        50   SH         DEFINED      2                             50
PROSHARES TR                    COM    74348A301    1,082,865    17,665   SH         DEFINED      2                         17,665
PROSHARES TR                    COM    74347R370        9,225       165   SH         DEFINED      2                            165
PROSHARES TR                    COM    74347R396       31,068       815   SH         DEFINED      2                            815
PROSHARES TR                    COM    74347R487        8,452       269   SH         DEFINED      2                            269
PROSHARES TR                    COM    74347X641      186,093     4,620   SH         DEFINED      2                          4,620
PROSHARES TR                    COM    74348A400       30,000       500   SH         DEFINED      2                            500
PROSHARES TR II                 COM    74347W650       18,828       695   SH         DEFINED      4                            695
PROSHARES TR II                 COM    74347W718        1,917       100   SH         DEFINED      4                            100
PROSHARES TR II                 COM    74347W882      382,612    19,845   SH         DEFINED      4                         19,845
PROSHARES TR II                 COM    74347W900          820         4   SH  C      DEFINED      4                              4
PROSHARES TR II                 COM    74347W601       95,206     1,090   SH         DEFINED      3                          1,090




                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
PROSHARES TR II                 COM    74347W650       13,545       500   SH         DEFINED      3                            500
PROSHARES TR II                 COM    74347W841       10,886       105   SH         DEFINED      3                            105
PROSHARES TR II                 COM    74347W858        1,378       100   SH         DEFINED      3                            100
PROSHARES TR II                 COM    74347W882       15,424       800   SH         DEFINED      3                            800
PROSHARES TR II                 COM    74347W718        9,585       500   SH         DEFINED      2                            500
PROSHARES TR II                 COM    74347W841        7,776        75   SH         DEFINED      2                             75
PROSHARES TR II                 COM    74347W858       22,048     1,600   SH         DEFINED      2                          1,600
PROSHARES TR II                 COM    74347W882      181,888     9,434   SH         DEFINED      2                          9,434
PROSHARES TR II                 COM    74347W676        2,372        40   SH         DEFINED      2                             40
PROSPECT CAPITAL CORP           COM    74348T102      751,265    89,330   SH         SOLE         1     89,330
PROSPECT CAPITAL CORPORATION    COM    74348T102      477,688    56,800   SH         DEFINED      4                         56,800
PROSPECT CAPITAL CORPORATION    COM    74348T102        5,467       650   SH         DEFINED      3                            650
PROSPECT CAPITAL CORPORATION    COM    74348T102       82,712     9,835   SH         DEFINED      2                          9,835
PROSPERITY BANCSHARES INC       COM    743606105    4,439,415   135,845   SH         SOLE         1    135,845
PROSPERITY BANCSHARES INC       COM    743606105          229         7   SH         DEFINED      3                              7
PROTECTIVE LIFE CORP            COM    743674103    2,906,883   185,981   SH         SOLE         1    185,981
PROVIDENCE SERVICE CORP         COM    743815102      100,824     9,467   SH         SOLE         1      9,467
PROVIDENT ENERGY LTD NEW        COM    74386V100      358,020    43,875   SH         DEFINED      4                         43,875
PROVIDENT ENERGY LTD NEW        COM    74386V100      345,625    42,356   SH         DEFINED      3                         42,356
PROVIDENT ENERGY LTD NEW        COM    74386V100    1,064,482   130,451   SH         DEFINED      2                        130,451
PROVIDENT FINANCIAL SERVIC      COM    74386T105      526,094    48,939   SH         SOLE         1     48,939
PROVIDENT NEW YORK BANCORP      COM    744028101      161,680    27,780   SH         SOLE         1     27,780
PRUDENTIAL FINANCIAL INC        COM    744320102   16,913,086   360,928   SH         SOLE         1    360,928
PRUDENTIAL FINL INC             COM    744320102       63,275     1,350   SH         DEFINED      4                          1,350
PRUDENTIAL FINL INC             COM    744320102       68,509     1,462   SH         DEFINED      3                          1,462
PRUDENTIAL FINL INC             COM    744320102       70,946     1,514   SH         DEFINED      2                          1,514
PRUDENTIAL PLC                  COM    74435K204        4,853       284   SH         DEFINED      3                            284
PS BUSINESS PARKS INC/CA        COM    69360J107      757,070    15,282   SH         SOLE         1     15,282
PSIVIDA CORP                    COM    74440J101        6,405     1,500   SH         DEFINED      2                          1,500
PSS WORLD MED INC               COM    69366A100       19,887     1,010   SH         DEFINED      2                          1,010
PSS WORLD MEDICAL INC           COM    69366A100      890,953    45,249   SH         SOLE         1     45,249
PUBLIC SERVICE ENTERPRISE       COM    744573106    5,107,178   153,047   SH         SOLE         1    153,047
PUBLIC STORAGE                  COM    74460D109    4,903,409    44,036   SH         SOLE         1     44,036
PUBLIC STORAGE                  COM    74460D109       87,855       789   SH         DEFINED      4                            789
PUBLIC STORAGE                  COM    74460D109       13,251       119   SH         DEFINED      3                            119
PUBLIC STORAGE                  COM    74460D109      269,328     2,419   SH         DEFINED      2                          2,419
PUBLIC SVC ENTERPRISE GROUP     COM    744573106      123,272     3,694   SH         DEFINED      4                          3,694
PUBLIC SVC ENTERPRISE GROUP     COM    744573106      372,767    11,171   SH         DEFINED      3                         11,171
PUBLIC SVC ENTERPRISE GROUP     COM    744573106      109,950     3,295   SH         DEFINED      2                          3,295
PULSE ELECTRONICS CORP          COM    74586W106       97,475    34,082   SH         SOLE         1     34,082
PULSE ELECTRONICS CORP          COM    74586W106          858       300   SH         DEFINED      2                            300
PULTE GROUP INC                 COM    745867101        3,950     1,000   SH         DEFINED      4                          1,000
PULTE GROUP INC                 COM    745867101          395       100   SH         DEFINED      3                            100
PULTEGROUP INC                  COM    745867101      439,817   111,346   SH         SOLE         1    111,346
PUTMAN HIGH INCOME SEC FUND     COM    746779107        4,464       600   SH         DEFINED      2                            600
PUTNAM MANAGED MUN INCOM TR     COM    746823103       84,057    11,298   SH         DEFINED      4                         11,298
PUTNAM MANAGED MUN INCOM TR     COM    746823103    1,918,888   257,915   SH         DEFINED      3                        257,915
PUTNAM MASTER INTER INCOME T    COM    746909100        2,525       500   SH         DEFINED      4                            500
PUTNAM MASTER INTER INCOME T    COM    746909100        3,666       726   SH         DEFINED      3                            726
PUTNAM PREMIER INCOME TR        COM    746853100        6,153     1,150   SH         DEFINED      3                          1,150
PUTNAM PREMIER INCOME TR        COM    746853100       32,635     6,100   SH         DEFINED      2                          6,100
PVH CORP                        COM    693656100    8,625,985   148,111   SH         SOLE         1    148,111
PZENA INVESTMENT MANAGM CL      COM    74731Q103       20,884     6,367   SH         SOLE         1      6,367
QAD INC A                       COM    74727D306       51,398     4,808   SH         SOLE         1      4,808
QEP RES INC                     COM    74733V100       39,252     1,450   SH         DEFINED      4                          1,450
QEP RES INC                     COM    74733V100        6,786       251   SH         DEFINED      3                            251
QEP RESOURCES INC               COM    74733V100    3,465,989   128,038   SH         SOLE         1    128,038
QIAGEN N.V.                     COM    N72482107      268,150    19,389   SH         SOLE         1     19,389
QIAO XING UNVL RESOURCES INC    COM    G7303A109       97,667   132,000   SH         DEFINED      3                        132,000
QIAO XING UNVL RESOURCES INC    COM    G7303A109          370       500   SH         DEFINED      2                            500
QIHOO 360 TECHNOLOGY CO LTD     COM    74734M109       98,040     6,000   SH         DEFINED      3                          6,000
QIHOO 360 TECHNOLOGY CO LTD     COM    74734M109      118,057     7,225   SH         DEFINED      2                          7,225
QLIK TECHNOLOGIES INC           COM    74733T105    1,113,541    51,410   SH         SOLE         1     51,410
QLOGIC CORP                     COM    747277101    2,878,043   226,975   SH         SOLE         1    226,975
QLOGIC CORP                     COM    747277101        3,880       306   SH         DEFINED      3                            306
QR ENERGY LP                    COM    74734R108        3,910       200   SH         DEFINED      3                            200
QUAD GRAPHICS INC               COM    747301109      333,084    18,433   SH         SOLE         1     18,433
QUAKER CHEMICAL CORP            COM    747316107      271,953    10,492   SH         SOLE         1     10,492
QUALCOMM INC                    COM    747525103   59,123,625 1,215,785   SH         SOLE         1  1,215,785
QUALCOMM INC                    COM    747525103      146,571     3,014   SH         DEFINED      4                          3,014
QUALCOMM INC                    COM    747525953        2,264         4   SH  P      DEFINED      4                              4
QUALCOMM INC                    COM    747525103      530,359    10,906   SH         DEFINED      3                         10,906
QUALCOMM INC                    COM    747525103      372,039     7,650   SH         DEFINED      2                          7,650
QUALITY DISTRIBUTION INC        COM    74756M102       97,988    10,924   SH         SOLE         1     10,924
QUALITY SYSTEMS INC             COM    747582104    1,541,621    15,893   SH         SOLE         1     15,893
QUANEX BUILDING PRODUCTS        COM    747619104      339,921    31,043   SH         SOLE         1     31,043
QUANTA SERVICES INC             COM    74762E102    1,329,505    70,756   SH         SOLE         1     70,756
QUANTA SVCS INC                 COM    74762E102       22,003     1,171   SH         DEFINED      2                          1,171
QUANTUM CORP                    COM    747906204      297,978   164,629   SH         SOLE         1    164,629
QUANTUM CORP                    COM    747906204          109        60   SH         DEFINED      2                             60
QUANTUM FUEL SYS TECH WORLDW    COM    74765E208           25        10   SH         DEFINED      3                             10






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
QUEPASA CORP                    COM    74833W206       17,155     4,987   SH         SOLE         1      4,987
QUEPASA CORP                    COM    74833W206        7,224     2,100   SH         DEFINED      3                          2,100
QUEST DIAGNOSTICS INC           COM    74834L100    2,477,428    50,191   SH         SOLE         1     50,191
QUEST DIAGNOSTICS INC           COM    74834L100        4,936       100   SH         DEFINED      4                            100
QUEST DIAGNOSTICS INC           COM    74834L100        3,653        74   SH         DEFINED      3                             74
QUEST SOFTWARE INC              COM    74834T103    2,719,688   171,265   SH         SOLE         1    171,265
QUESTAR CORP                    COM    748356102    6,912,302   390,305   SH         SOLE         1    390,305
QUESTAR CORP                    COM    748356102       15,054       850   SH         DEFINED      4                            850
QUESTAR CORP                    COM    748356102       27,340     1,544   SH         DEFINED      3                          1,544
QUESTAR CORP                    COM    748356102       14,168       800   SH         DEFINED      2                            800
QUESTCOR PHARMACEUTICALS        COM    74835Y101    1,208,163    44,320   SH         SOLE         1     44,320
QUESTCOR PHARMACEUTICALS INC    COM    74835Y101        8,178       300   SH         DEFINED      3                            300
QUICKLOGIC CORP                 COM    74837P108        9,360     4,000   SH         DEFINED      3                          4,000
QUICKSILVER RESOURCES INC       COM    74837R104    2,462,697   324,894   SH         SOLE         1    324,894
QUICKSILVER RESOURCES INC       COM    74837R104        7,580     1,000   SH         DEFINED      4                          1,000
QUICKSILVER RESOURCES INC       COM    74837R104        4,548       600   SH         DEFINED      3                            600
QUIDEL CORP                     COM    74838J101      340,627    20,808   SH         SOLE         1     20,808
QUIDEL CORP                     COM    74838J101        1,637       100   SH         DEFINED      3                            100
QUIKSILVER INC                  COM    74838C106      322,541   105,751   SH         SOLE         1    105,751
QUIKSILVER INC                  COM    74838C106       21,350     7,000   SH         DEFINED      3                          7,000
QUINSTREET INC                  COM    74874Q100      208,252    20,121   SH         SOLE         1     20,121
RACKSPACE HOSTING INC           COM    750086100    7,679,008   224,927   SH         SOLE         1    224,927
RACKSPACE HOSTING INC           COM    750086100        3,414       100   SH         DEFINED      4                            100
RACKSPACE HOSTING INC           COM    750086100      143,183     4,194   SH         DEFINED      3                          4,194
RACKSPACE HOSTING INC           COM    750086100       10,583       310   SH         DEFINED      2                            310
RADIAN GROUP INC                COM    750236101      212,923    97,225   SH         SOLE         1     97,225
RADIAN GROUP INC                COM    750236101          114        52   SH         DEFINED      4                             52
RADIOSHACK CORP                 COM    750438103    2,547,650   219,247   SH         SOLE         1    219,247
RADISYS CORP                    COM    750459109       99,309    16,227   SH         SOLE         1     16,227
RADNET INC                      COM    750491102       54,336    22,269   SH         SOLE         1     22,269
RAILAMERICA INC                 COM    750753402      203,151    15,591   SH         SOLE         1     15,591
RAIT FINANCIAL TRUST            COM    749227609       94,161    27,776   SH         SOLE         1     27,776
RAIT FINANCIAL TRUST            COM    749227609          112        33   SH         DEFINED      4                             33
RAIT FINANCIAL TRUST            COM    749227609        2,593       765   SH         DEFINED      3                            765
RALCORP HLDGS INC NEW           COM    751028101       50,092       653   SH         DEFINED      4                            653
RALCORP HLDGS INC NEW           COM    751028101        3,836        50   SH         DEFINED      3                             50
RALCORP HLDGS INC NEW           COM    751028101        1,074        14   SH         DEFINED      2                             14
RALCORP HOLDINGS INC            COM    751028101    9,295,488   121,177   SH         SOLE         1    121,177
RALPH LAUREN CORP               COM    751212101    3,080,245    23,749   SH         SOLE         1     23,749
RALPH LAUREN CORP               COM    751212101       14,137       109   SH         DEFINED      3                            109
RAMBUS INC                      COM    750917106    1,004,052    71,718   SH         SOLE         1     71,718
RAMBUS INC DEL                  COM    750917106      109,760     7,840   SH         DEFINED      3                          7,840
RAMCO GERSHENSON PROPERTIE      COM    751452202      230,715    28,136   SH         SOLE         1     28,136
RAMCO-GERSHENSON PPTYS TR       COM    751452202        6,060       739   SH         DEFINED      2                            739
RANDGOLD RES LTD                COM    752344309      145,080     1,500   SH         DEFINED      3                          1,500
RANGE RES CORP                  COM    75281A109      159,596     2,730   SH         DEFINED      2                          2,730
RANGE RESOURCES CORP            COM    75281A109    3,662,577    62,651   SH         SOLE         1     62,651
RAPTOR PHARMACEUTICAL CORP      COM    75382F106      113,959    25,268   SH         SOLE         1     25,268
RARE ELEMENT RES LTD            COM    75381M102       14,402     2,835   SH         DEFINED      3                          2,835
RAVEN INDS INC                  COM    754212108       35,427       735   SH         DEFINED      3                            735
RAVEN INDUSTRIES INC            COM    754212108      636,481    13,205   SH         SOLE         1     13,205
RAYMOND JAMES FINANCIAL IN      COM    754730109    5,855,018   225,540   SH         SOLE         1    225,540
RAYONIER INC                    COM    754907103    9,782,130   265,891   SH         SOLE         1    265,891
RAYONIER INC                    COM    754907103       47,091     1,280   SH         DEFINED      4                          1,280
RAYONIER INC                    COM    754907103       76,707     2,085   SH         DEFINED      3                          2,085
RAYONIER INC                    COM    754907103       22,589       614   SH         DEFINED      2                            614
RAYTHEON CO                     COM    755111507      114,205     2,794   SH         DEFINED      4                          2,794
RAYTHEON CO                     COM    755111507       55,379     1,355   SH         DEFINED      3                          1,355
RAYTHEON CO                     COM    755111507      322,548     7,892   SH         DEFINED      2                          7,892
RAYTHEON COMPANY                COM    755111507   32,306,427   790,468   SH         SOLE         1    790,468
RBC BEARINGS INC                COM    75524B104      544,282    16,013   SH         SOLE         1     16,013
RBC BEARINGS INC                COM    75524B104        6,288       185   SH         DEFINED      3                            185
REACHLOCAL INC                  COM    75525F104       79,177     7,284   SH         SOLE         1      7,284
REAL GOODS SOLAR INC            COM    75601N104          182       100   SH         DEFINED      4                            100
REALD INC                       COM    75604L105      280,397    29,989   SH         SOLE         1     29,989
REALNETWORKS INC                COM    75605L708      129,881    15,407   SH         SOLE         1     15,407
REALPAGE INC                    COM    75606N109      452,865    22,145   SH         SOLE         1     22,145
REALTY INCOME CORP              COM    756109104    8,989,286   278,824   SH         SOLE         1    278,824
REALTY INCOME CORP              COM    756109104       14,379       446   SH         DEFINED      4                            446
REALTY INCOME CORP              COM    756109104      799,406    24,795   SH         DEFINED      3                         24,795
REALTY INCOME CORP              COM    756109104    1,367,187    42,407   SH         DEFINED      2                         42,407
REAVES UTIL INCOME FD           COM    756158101        4,880       200   SH         DEFINED      4                            200
REAVES UTIL INCOME FD           COM    756158101           73         3   SH         DEFINED      3                              3
RED HAT INC                     COM    756577102    2,562,520    60,637   SH         SOLE         1     60,637
RED HAT INC                     COM    756577102        4,226       100   SH         DEFINED      3                            100
RED LION HOTELS CORP            COM    756764106       71,898    10,715   SH         SOLE         1     10,715
RED LION HOTELS CORP            COM    756764106        1,342       200   SH         DEFINED      2                            200
RED ROBIN GOURMET BURGERS       COM    75689M101      252,969    10,501   SH         SOLE         1     10,501
REDWOOD TR INC                  COM    758075402       56,967     5,100   SH         DEFINED      3                          5,100
REDWOOD TRUST INC               COM    758075402      640,823    57,370   SH         SOLE         1     57,370
REGAL BELOIT CORP               COM    758750103    4,132,938    91,074   SH         SOLE         1     91,074






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
REGAL ENTERTAINMENT GROUP       COM    758766109    8,591,215   731,790   SH         SOLE         1    731,790
REGAL ENTMT GROUP               COM    758766109      402,377    34,274   SH         DEFINED      4                         34,274
REGAL ENTMT GROUP               COM    758766109        4,696       400   SH         DEFINED      2                            400
REGENCY CENTERS CORP            COM    758849103    6,984,564   197,695   SH         SOLE         1    197,695
REGENCY ENERGY PARTNERS L P     COM    75885Y107        9,408       420   SH         DEFINED      4                            420
REGENCY ENERGY PARTNERS L P     COM    75885Y107       18,816       840   SH         DEFINED      3                            840
REGENERON PHARMACEUTICALS       COM    75886F107      452,796     7,780   SH         SOLE         1      7,780
REGIONS FINANCIAL CORP          COM    7591EP100    1,702,066   511,131   SH         SOLE         1    511,131
REGIONS FINANCIAL CORP NEW      COM    7591EP100        9,990     3,000   SH         DEFINED      4                          3,000
REGIONS FINANCIAL CORP NEW      COM    7591EP100        1,346       404   SH         DEFINED      3                            404
REGIONS FINANCIAL CORP NEW      COM    7591EP100       12,821     3,850   SH         DEFINED      2                          3,850
REGIS CORP                      COM    758932107    2,357,172   167,294   SH         SOLE         1    167,294
REINSURANCE GROUP AMER INC      COM    759351604        2,298        50   SH         DEFINED      4                             50
REINSURANCE GROUP AMER INC      COM    759351604       36,163       787   SH         DEFINED      3                            787
REINSURANCE GROUP AMER INC      COM    759351604        4,595       100   SH         DEFINED      2                            100
REINSURANCE GROUP OF AMERI      COM    759351604    7,484,520   162,884   SH         SOLE         1    162,884
REIS INC                        COM    75936P105           35         4   SH         DEFINED      2                              4
RELIANCE STEEL & ALUMINUM CO    COM    759509102        6,802       200   SH         DEFINED      3                            200
RELIANCE STEEL & ALUMINUM CO    COM    759509102       51,015     1,500   SH         DEFINED      2                          1,500
RELIANCE STEEL + ALUMINUM       COM    759509102    5,596,243   164,547   SH         SOLE         1    164,547
RENAISSANCE LEARNING INC        COM    75968L105      161,810     9,643   SH         SOLE         1      9,643
RENAISSANCERE HOLDINGS LTD      COM    G7496G103      102,016     1,599   SH         SOLE         1      1,599
RENASANT CORP                   COM    75970E107      232,972    18,301   SH         SOLE         1     18,301
RENESOLA LTD                    COM    75971T103       38,700    22,500   SH         DEFINED      3                         22,500
RENESOLA LTD                    COM    75971T103        3,440     2,000   SH         DEFINED      2                          2,000
RENREN INC                      COM    759892102        1,020       200   SH         DEFINED      4                            200
RENT A CENTER INC               COM    76009N100    4,942,922   180,070   SH         SOLE         1    180,070
RENTECH INC                     COM    760112102      126,996   162,774   SH         SOLE         1    162,774
RENTECH INC                     COM    760112102        2,731     3,500   SH         DEFINED      3                          3,500
RENTRAK CORP                    COM    760174102       87,438     6,945   SH         SOLE         1      6,945
REPUBLIC AIRWAYS HOLDINGS       COM    760276105       99,613    35,199   SH         SOLE         1     35,199
REPUBLIC BANCORP INC CLASS      COM    760281204      128,096     7,233   SH         SOLE         1      7,233
REPUBLIC FIRST BANCORP INC      COM    760416107       72,194    46,577   SH         DEFINED      4                         46,577
REPUBLIC SERVICES INC           COM    760759100    6,618,260   235,861   SH         SOLE         1    235,861
REPUBLIC SVCS INC               COM    760759100        2,105        75   SH         DEFINED      4                             75
REPUBLIC SVCS INC               COM    760759100        2,806       100   SH         DEFINED      3                            100
REPUBLIC SVCS INC               COM    760759100       40,406     1,440   SH         DEFINED      2                          1,440
RESEARCH IN MOTION              COM    760975102      548,080    26,999   SH         SOLE         1     26,999
RESEARCH IN MOTION LTD          COM    760975102        2,030       100   SH         DEFINED      4                            100
RESEARCH IN MOTION LTD          COM    760975102       21,011     1,035   SH         DEFINED      3                          1,035
RESEARCH IN MOTION LTD          COM    760975102      152,717     7,523   SH         DEFINED      2                          7,523
RESMED INC                      COM    761152107    9,523,300   330,785   SH         SOLE         1    330,785
RESMED INC                      COM    761152107       11,516       400   SH         DEFINED      3                            400
RESOLUTE ENERGY CORP            COM    76116A108      382,957    33,711   SH         SOLE         1     33,711
RESOURCE CAP CORP               COM    76120W302        1,500       300   SH         DEFINED      4                            300
RESOURCE CAPITAL CORP           COM    76120W302      260,095    52,019   SH         SOLE         1     52,019
RESOURCES CONNECTION INC        COM    76122Q105      331,112    33,856   SH         SOLE         1     33,856
RESPONSYS INC                   COM    761248103       74,619     6,922   SH         SOLE         1      6,922
RETAIL OPPORTUNITY INVESTM      COM    76131N101      340,499    30,731   SH         SOLE         1     30,731
REVETT MINERALS INC             COM    761505205       70,638    18,300   SH         SOLE         1     18,300
REVLON INC                      COM    761525609        6,160       500   SH         DEFINED      3                            500
REVLON INC CLASS A              COM    761525609       97,648     7,926   SH         SOLE         1      7,926
REX AMERICAN RESOURCES COR      COM    761624105       83,843     4,967   SH         SOLE         1      4,967
REX ENERGY CORP                 COM    761565100      322,259    25,475   SH         SOLE         1     25,475
REYNOLDS AMERICAN INC           COM    761713106   41,163,647 1,098,283   SH         SOLE         1  1,098,283
REYNOLDS AMERICAN INC           COM    761713106      147,746     3,942   SH         DEFINED      4                          3,942
REYNOLDS AMERICAN INC           COM    761713106       67,576     1,803   SH         DEFINED      3                          1,803
REYNOLDS AMERICAN INC           COM    761713106       23,762       634   SH         DEFINED      2                            634
RF MICRO DEVICES INC            COM    749941100    5,076,273   800,674   SH         SOLE         1    800,674
RF MICRODEVICES INC             COM    749941100        6,340     1,000   SH         DEFINED      4                          1,000
RF MICRODEVICES INC             COM    749941100          292        46   SH         DEFINED      3                             46
RF MICRODEVICES INC             COM    749941100          317        50   SH         DEFINED      2                             50
RHINO RESOURCE PARTNERS LP      COM    76218Y103        7,060       400   SH         DEFINED      4                            400
RICHARDSON ELEC LTD             COM    763165107      140,183    10,300   SH         SOLE         1     10,300
RICHMONT MINES INC              COM    76547T106        2,114       200   SH         DEFINED      3                            200
RICHMONT MINES INC              COM    76547T106        3,171       300   SH         DEFINED      2                            300
RICKS CABARET INTL INC          COM    765641303          665       100   SH         DEFINED      3                            100
RIGEL PHARMACEUTICALS INC       COM    766559603      368,655    50,089   SH         SOLE         1     50,089
RIGHTNOW TECHNOLOGIES INC       COM    76657R106      670,254    20,280   SH         SOLE         1     20,280
RIGHTNOW TECHNOLOGIES INC       COM    76657R106          430        13   SH         DEFINED      3                             13
RIGNET INC                      COM    766582100       68,496     4,273   SH         SOLE         1      4,273
RIMAGE CORP                     COM    766721104       87,766     6,938   SH         SOLE         1      6,938
RIO TINTO PLC                   COM    767204100       20,806       472   SH         DEFINED      4                            472
RIO TINTO PLC                   COM    767204100       46,681     1,059   SH         DEFINED      3                          1,059
RIO TINTO PLC                   COM    767204100       13,224       300   SH         DEFINED      2                            300
RITCHIE BROS AUCTIONEERS        COM    767744105        3,030       150   SH         DEFINED      3                            150
RITE AID CORP                   COM    767754104      421,829   430,438   SH         SOLE         1    430,438
RITE AID CORP                   COM    767754104          294       300   SH         DEFINED      4                            300
RITE AID CORP                   COM    767754104        5,488     5,600   SH         DEFINED      3                          5,600
RITE AID CORP                   COM    767754104        3,920     4,000   SH         DEFINED      2                          4,000
RIVERBED TECHNOLOGY INC         COM    768573107    6,772,548   339,306   SH         SOLE         1    339,306






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
RIVERBED TECHNOLOGY INC         COM    768573107        3,992       200   SH         DEFINED      4                            200
RIVERBED TECHNOLOGY INC         COM    768573107      470,557    23,575   SH         DEFINED      3                         23,575
RIVERBED TECHNOLOGY INC         COM    768573907          380        10   SH  C      DEFINED      3                             10
RIVERBED TECHNOLOGY INC         COM    768573107       15,369       770   SH         DEFINED      2                            770
RIVERVIEW BANCORP INC           COM    769397100        2,400     1,000   SH         DEFINED      3                          1,000
RIVUS BOND FUND                 COM    769667106        3,364       184   SH         DEFINED      3                            184
RLI CORP                        COM    749607107      940,730    14,796   SH         SOLE         1     14,796
RLI CORP                        COM    749607107       13,034       205   SH         DEFINED      4                            205
RLI CORP                        COM    749607107        6,047        95   SH         DEFINED      3                             95
RLJ LODGING TRUST               COM    74965L101      256,805    20,110   SH         SOLE         1     20,110
ROADRUNNER TRANSPORTATION       COM    76973Q105       91,087     6,639   SH         SOLE         1      6,639
ROBBINS + MYERS INC             COM    770196103    1,140,328    32,853   SH         SOLE         1     32,853
ROBERT HALF INTL INC            COM    770323103      977,245    46,053   SH         SOLE         1     46,053
ROCHESTER MED CORP              COM    771497104          759       100   SH         DEFINED      3                            100
ROCHESTER MED CORP              COM    771497104           99        13   SH         DEFINED      2                             13
ROCK TENN COMPANY  CL A         COM    772739207    7,564,921   155,401   SH         SOLE         1    155,401
ROCK-TENN CO                    COM    772739207       86,066     1,768   SH         DEFINED      2                          1,768
ROCKVILLE FINANCIAL INC         COM    774188106      204,294    21,550   SH         SOLE         1     21,550
ROCKWELL AUTOMATION INC         COM    773903109    3,834,600    68,475   SH         SOLE         1     68,475
ROCKWELL AUTOMATION INC         COM    773903109      122,080     2,180   SH         DEFINED      4                          2,180
ROCKWELL AUTOMATION INC         COM    773903109       25,536       456   SH         DEFINED      3                            456
ROCKWELL AUTOMATION INC         COM    773903109        1,691        30   SH         DEFINED      2                             30
ROCKWELL COLLINS INC            COM    774341101    4,077,662    77,287   SH         SOLE         1     77,287
ROCKWELL COLLINS INC            COM    774341101        5,276       100   SH         DEFINED      4                            100
ROCKWELL COLLINS INC            COM    774341101       18,609       353   SH         DEFINED      3                            353
ROCKWELL MEDICAL TECH INC       COM    774374102       95,603    11,716   SH         SOLE         1     11,716
ROCKWOOD HLDGS INC              COM    774415103       17,687       525   SH         DEFINED      3                            525
ROCKWOOD HOLDINGS INC           COM    774415103    2,468,635    73,275   SH         SOLE         1     73,275
ROFIN SINAR TECHNOLOGIES I      COM    775043102      447,437    23,304   SH         SOLE         1     23,304
ROGERS CORP                     COM    775133101      512,251    13,091   SH         SOLE         1     13,091
ROLLINS INC                     COM    775711104    3,489,583   186,509   SH         SOLE         1    186,509
ROMA FINANCIAL CORP             COM    77581P109       44,695     5,484   SH         SOLE         1      5,484
ROPER INDS INC NEW              COM    776696106       15,574       226   SH         DEFINED      2                            226
ROPER INDUSTRIES INC            COM    776696106    2,981,460    43,266   SH         SOLE         1     43,266
ROSETTA RESOURCES INC           COM    777779307    1,324,519    38,706   SH         SOLE         1     38,706
ROSETTA RESOURCES INC           COM    777779307      155,724     4,550   SH         DEFINED      4                          4,550
ROSETTA RESOURCES INC           COM    777779307      308,299     9,008   SH         DEFINED      3                          9,008
ROSETTA STONE INC               COM    777780107       73,301     8,011   SH         SOLE         1      8,011
ROSS STORES INC                 COM    778296103    4,019,407    51,079   SH         SOLE         1     51,079
ROSS STORES INC                 COM    778296103      384,165     4,882   SH         DEFINED      2                          4,882
ROVI CORP                       COM    779376102   10,440,874   242,924   SH         SOLE         1    242,924
ROWAN COMPANIES INC             COM    779382100    1,460,049    48,362   SH         SOLE         1     48,362
ROYAL BK CDA MONTREAL QUE       COM    780087102       27,523       602   SH         DEFINED      3                            602
ROYAL BK CDA MONTREAL QUE       COM    780087102       99,167     2,169   SH         DEFINED      2                          2,169
ROYAL BK SCOTLAND GROUP PLC     COM    780097713        1,205       100   SH         DEFINED      3                            100
ROYAL BK SCOTLAND GROUP PLC     COM    780097739        7,777       700   SH         DEFINED      3                            700
ROYAL BK SCOTLAND GROUP PLC     COM    780097762        1,050       100   SH         DEFINED      3                            100
ROYAL BK SCOTLAND GROUP PLC     COM    780097788      682,213    42,665   SH         DEFINED      3                         42,665
ROYAL BK SCOTLAND GROUP PLC     COM    780097739       13,332     1,200   SH         DEFINED      2                          1,200
ROYAL BK SCOTLAND GROUP PLC     COM    780097754        2,274       200   SH         DEFINED      2                            200
ROYAL BK SCOTLAND GROUP PLC     COM    780097762        9,765       930   SH         DEFINED      2                            930
ROYAL BK SCOTLAND GROUP PLC     COM    780097788        3,198       200   SH         DEFINED      2                            200
ROYAL BK SCOTLAND N V           COM    78009L209       10,219       457   SH         DEFINED      3                            457
ROYAL BK SCOTLAND N V           COM    78009L308       16,363       679   SH         DEFINED      3                            679
ROYAL BK SCOTLAND N V           COM    78009L407       15,191       519   SH         DEFINED      3                            519
ROYAL CARIBBEAN CRUISES LT      COM    V7780T103   11,654,460   538,561   SH         SOLE         1    538,561
ROYAL CARIBBEAN CRUISES LTD     COM    V7780T103        1,082        50   SH         DEFINED      3                             50
ROYAL DUTCH SHELL PLC           COM    780259206       46,722       759   SH         DEFINED      4                            759
ROYAL DUTCH SHELL PLC           COM    780259107       65,773     1,060   SH         DEFINED      3                          1,060
ROYAL DUTCH SHELL PLC           COM    780259206      215,505     3,503   SH         DEFINED      3                          3,503
ROYAL DUTCH SHELL PLC           COM    780259107       10,114       163   SH         DEFINED      2                            163
ROYAL DUTCH SHELL PLC           COM    780259206       33,036       537   SH         DEFINED      2                            537
ROYAL GOLD INC                  COM    780287108       53,746       839   SH         SOLE         1        839
ROYAL GOLD INC                  COM    780287108        5,125        80   SH         DEFINED      4                             80
ROYAL GOLD INC                  COM    780287108      690,823    10,784   SH         DEFINED      3                         10,784
ROYAL GOLD INC                  COM    780287108       20,460       319   SH         DEFINED      2                            319
ROYALE ENERGY INC               COM    78074G200        2,704     1,300   SH         DEFINED      2                          1,300
ROYCE VALUE TR INC              COM    780910105        5,662       511   SH         DEFINED      4                            511
ROYCE VALUE TR INC              COM    780910105       36,486     3,293   SH         DEFINED      2                          3,293
RPC INC                         COM    749660106       10,069       617   SH         SOLE         1        617
RPM INTERNATIONAL INC           COM    749685103    5,393,192   288,406   SH         SOLE         1    288,406
RPM INTL INC                    COM    749685103       28,050     1,500   SH         DEFINED      4                          1,500
RPM INTL INC                    COM    749685103       80,298     4,294   SH         DEFINED      3                          4,294
RPM INTL INC                    COM    749685103        4,801       257   SH         DEFINED      2                            257
RPX CORP                        COM    74972G103      144,556     6,980   SH         SOLE         1      6,980
RR DONNELLEY + SONS CO          COM    257867101      881,808    62,451   SH         SOLE         1     62,451
RSC HOLDINGS INC                COM    74972L102      352,821    49,484   SH         SOLE         1     49,484
RTI BIOLOGICS INC               COM    74975N105      132,544    40,287   SH         SOLE         1     40,287
RTI INTERNATIONAL METALS I      COM    74973W107      576,704    24,730   SH         SOLE         1     24,730
RUBICON TECHNOLOGY INC          COM    78112T107      157,173    14,380   SH         SOLE         1     14,380
RUBY TUESDAY INC                COM    781182100      380,561    53,151   SH         SOLE         1     53,151






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
RUDDICK CORP                    COM    781258108    5,551,708   142,388   SH         SOLE         1    142,388
RUDDICK CORP                    COM    781258108       18,403       472   SH         DEFINED      4                            472
RUDDICK CORP                    COM    781258108        3,704        95   SH         DEFINED      2                             95
RUDOLPH TECHNOLOGIES INC        COM    781270103      173,552    25,942   SH         SOLE         1     25,942
RUE21 INC                       COM    781295100      279,745    12,329   SH         SOLE         1     12,329
RUSH ENTERPRISES INC CL A       COM    781846209      335,082    23,664   SH         SOLE         1     23,664
RUTH S HOSPITALITY GROUP I      COM    783332109      123,599    28,811   SH         SOLE         1     28,811
RXI PHARMACEUTICALS CORP        COM    74978T109          101       100   SH         DEFINED      4                            100
RYANAIR HLDGS PLC               COM    783513104        5,150       200   SH         DEFINED      3                            200
RYANAIR HLDGS PLC               COM    783513104        9,013       350   SH         DEFINED      2                            350
RYDER SYSTEM INC                COM    783549108      913,856    24,363   SH         SOLE         1     24,363
RYDEX ETF TRUST                 COM    78355W106      332,276     8,026   SH         DEFINED      4                          8,026
RYDEX ETF TRUST                 COM    78355W817       19,501       430   SH         DEFINED      4                            430
RYDEX ETF TRUST                 COM    78355W106      117,162     2,830   SH         DEFINED      3                          2,830
RYDEX ETF TRUST                 COM    78355W205       65,014       789   SH         DEFINED      3                            789
RYDEX ETF TRUST                 COM    78355W403       34,567       874   SH         DEFINED      3                            874
RYDEX ETF TRUST                 COM    78355W601       53,429       730   SH         DEFINED      3                            730
RYDEX ETF TRUST                 COM    78355W783        5,888       181   SH         DEFINED      3                            181
RYDEX ETF TRUST                 COM    78355W874       28,865       500   SH         DEFINED      3                            500
RYDEX ETF TRUST                 COM    78355W106    4,596,922   111,037   SH         DEFINED      2                        111,037
RYDEX ETF TRUST                 COM    78355W403      115,684     2,925   SH         DEFINED      2                          2,925
RYDEX ETF TRUST                 COM    78355W601    1,242,181    16,972   SH         DEFINED      2                         16,972
RYDEX ETF TRUST                 COM    78355W577       10,976       400   SH         DEFINED      2                            400
RYDEX ETF TRUST                 COM    78355W825      348,532     7,105   SH         DEFINED      2                          7,105
RYDEX ETF TRUST                 COM    78355W866        4,389        84   SH         DEFINED      2                             84
RYLAND GROUP INC/THE            COM    783764103    1,370,793   128,713   SH         SOLE         1    128,713
S + T BANCORP INC               COM    783859101      371,454    22,986   SH         SOLE         1     22,986
S L INDS INC                    COM    784413106          135         8   SH         DEFINED      3                              8
S.Y. BANCORP INC                COM    785060104      163,856     8,800   SH         SOLE         1      8,800
S1 CORPORATION                  COM    78463B101      357,905    39,030   SH         SOLE         1     39,030
SABA SOFTWARE INC               COM    784932600      119,053    20,669   SH         SOLE         1     20,669
SABINE ROYALTY TR               COM    785688102      173,360     2,750   SH         DEFINED      4                          2,750
SABINE ROYALTY TR               COM    785688102       34,924       554   SH         DEFINED      3                            554
SABINE ROYALTY TR               COM    785688102      106,231     1,685   SH         DEFINED      2                          1,685
SABRA HEALTH CARE REIT INC      COM    78573L106      256,893    26,928   SH         SOLE         1     26,928
SAFEGUARD SCIENTIFICS INC       COM    786449207      226,575    15,105   SH         SOLE         1     15,105
SAFETY INSURANCE GROUP INC      COM    78648T100      399,636    10,564   SH         SOLE         1     10,564
SAFEWAY INC                     COM    786514208    1,939,341   116,617   SH         SOLE         1    116,617
SAFEWAY INC                     COM    786514208        7,284       438   SH         DEFINED      3                            438
SAFEWAY INC                     COM    786514208        8,315       500   SH         DEFINED      2                            500
SAGA COMMUNICATIONS INC CL      COM    786598300       77,700     2,633   SH         SOLE         1      2,633
SAGENT PHARMACEUTICALS INC      COM    786692103       98,306     4,857   SH         SOLE         1      4,857
SAIA INC                        COM    78709Y105      122,369    11,632   SH         SOLE         1     11,632
SAIC INC                        COM    78390X101    1,071,569    90,734   SH         SOLE         1     90,734
SAIC INC                        COM    78390X101       50,027     4,236   SH         DEFINED      2                          4,236
SAKS INC                        COM    79377W108    3,771,521   431,031   SH         SOLE         1    431,031
SALESFORCE COM INC              COM    79466L302       51,426       450   SH         DEFINED      4                            450
SALESFORCE COM INC              COM    79466L952        3,920         2   SH  P      DEFINED      4                              2
SALESFORCE COM INC              COM    79466L302       34,284       300   SH         DEFINED      3                            300
SALESFORCE COM INC              COM    79466L302        5,028        44   SH         DEFINED      2                             44
SALESFORCE.COM INC              COM    79466L302    7,478,826    65,443   SH         SOLE         1     65,443
SALIX PHARMACEUTICALS INC       COM    795435106        5,121       173   SH         DEFINED      4                            173
SALIX PHARMACEUTICALS LTD       COM    795435106    1,417,899    47,902   SH         SOLE         1     47,902
SALLY BEAUTY HOLDINGS INC       COM    79546E104       22,891     1,379   SH         SOLE         1      1,379
SAMSON OIL & GAS LTD            COM    796043107       79,100    35,000   SH         DEFINED      3                         35,000
SAN JUAN BASIN RTY TR           COM    798241105      128,632     5,600   SH         DEFINED      4                          5,600
SAN JUAN BASIN RTY TR           COM    798241105      505,294    21,998   SH         DEFINED      3                         21,998
SAN JUAN BASIN RTY TR           COM    798241105      411,462    17,913   SH         DEFINED      2                         17,913
SANDERSON FARMS INC             COM    800013104      847,495    17,842   SH         SOLE         1     17,842
SANDISK CORP                    COM    80004C101    4,424,055   109,642   SH         SOLE         1    109,642
SANDISK CORP                    COM    80004C101        1,211        30   SH         DEFINED      4                             30
SANDISK CORP                    COM    80004C101       72,639     1,800   SH         DEFINED      3                          1,800
SANDISK CORP                    COM    80004C101      133,615     3,311   SH         DEFINED      2                          3,311
SANDRIDGE ENERGY INC            COM    80007P307      931,294   167,499   SH         SOLE         1    167,499
SANDRIDGE ENERGY INC            COM    80007P307        2,780       500   SH         DEFINED      4                            500
SANDRIDGE ENERGY INC            COM    80007P307        1,668       300   SH         DEFINED      3                            300
SANDRIDGE ENERGY INC            COM    80007P307      108,426    19,501   SH         DEFINED      2                         19,501
SANDY SPRING BANCORP INC        COM    800363103      257,386    17,593   SH         SOLE         1     17,593
SANGAMO BIOSCIENCES INC         COM    800677106      166,227    38,213   SH         SOLE         1     38,213
SANGAMO BIOSCIENCES INC         COM    800677106       19,575     4,500   SH         DEFINED      3                          4,500
SANMINA SCI CORP                COM    800907206      392,824    58,806   SH         SOLE         1     58,806
SANMINA SCI CORP                COM    800907206        2,939       440   SH         DEFINED      2                            440
SANOFI                          COM    80105N105       50,348     1,535   SH         DEFINED      4                          1,535
SANOFI                          COM    80105N113          716       675   SH         DEFINED      4                            675
SANOFI                          COM    80105N105       40,770     1,243   SH         DEFINED      3                          1,243
SANOFI                          COM    80105N113          584       551   SH         DEFINED      3                            551
SANOFI                          COM    80105N105       13,120       400   SH         DEFINED      2                            400
SANOFI                          COM    80105N113          128       121   SH         DEFINED      2                            121
SANTARUS INC                    COM    802817304      108,587    38,920   SH         SOLE         1     38,920
SAP AG                          COM    803054204        6,581       130   SH         DEFINED      4                            130
SAP AG                          COM    803054204       31,638       625   SH         DEFINED      2                            625






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
SAPIENT CORPORATION             COM    803062108      809,040    79,787   SH         SOLE         1     79,787
SARA LEE CORP                   COM    803111103    3,059,134   187,103   SH         SOLE         1    187,103
SARA LEE CORP                   COM    803111103       67,853     4,150   SH         DEFINED      4                          4,150
SARA LEE CORP                   COM    803111103      138,417     8,466   SH         DEFINED      3                          8,466
SASOL LTD                       COM    803866300        6,090       150   SH         DEFINED      4                            150
SASOL LTD                       COM    803866300        1,827        45   SH         DEFINED      2                             45
SATCON TECHNOLOGY CORP          COM    803893106       62,939    66,252   SH         SOLE         1     66,252
SAUER DANFOSS INC               COM    804137107      244,234     8,451   SH         SOLE         1      8,451
SAUER-DANFOSS INC               COM    804137107      112,710     3,900   SH         DEFINED      2                          3,900
SAUL CENTERS INC                COM    804395101      216,080     6,391   SH         SOLE         1      6,391
SAVIENT PHARMACEUTICALS IN      COM    80517Q100      238,731    58,227   SH         SOLE         1     58,227
SBA COMMUNICATIONS CORP         COM    78388J106        2,827        82   SH         DEFINED      3                             82
SBA COMMUNICATIONS CORP         COM    78388J106        2,069        60   SH         DEFINED      2                             60
SBA COMMUNICATIONS CORP CL      COM    78388J106       61,685     1,789   SH         SOLE         1      1,789
SCANA CORP                      COM    80589M102    1,543,451    38,157   SH         SOLE         1     38,157
SCANA CORP NEW                  COM    80589M102       44,495     1,100   SH         DEFINED      4                          1,100
SCANA CORP NEW                  COM    80589M102        4,733       117   SH         DEFINED      3                            117
SCANA CORP NEW                  COM    80589M102      123,777     3,060   SH         DEFINED      2                          3,060
SCANSOURCE INC                  COM    806037107      654,281    22,134   SH         SOLE         1     22,134
SCBT FINANCIAL CORP             COM    78401V102      251,859    10,205   SH         SOLE         1     10,205
SCHAWK INC                      COM    806373106       84,981     8,610   SH         SOLE         1      8,610
SCHEIN HENRY INC                COM    806407102       31,005       500   SH         DEFINED      4                            500
SCHIFF NUTRITION INTERNATI      COM    806693107       98,767     8,914   SH         SOLE         1      8,914
SCHLUMBERGER LTD                COM    806857108   40,051,414   670,541   SH         SOLE         1    670,541
SCHLUMBERGER LTD                COM    806857108      430,130     7,201   SH         DEFINED      4                          7,201
SCHLUMBERGER LTD                COM    806857108      409,509     6,856   SH         DEFINED      3                          6,856
SCHLUMBERGER LTD                COM    806857108      158,882     2,660   SH         DEFINED      2                          2,660
SCHNITZER STEEL INDS INC A      COM    806882106      577,429    15,691   SH         SOLE         1     15,691
SCHNITZER STL INDS              COM    806882106        7,360       200   SH         DEFINED      2                            200
SCHOLASTIC CORP                 COM    807066105    2,074,360    74,005   SH         SOLE         1     74,005
SCHOOL SPECIALTY INC            COM    807863105       94,045    13,190   SH         SOLE         1     13,190
SCHULMAN (A.) INC               COM    808194104      429,439    25,276   SH         SOLE         1     25,276
SCHWAB (CHARLES) CORP           COM    808513105    6,241,506   553,816   SH         SOLE         1    553,816
SCHWAB CHARLES CORP NEW         COM    808513105        5,567       494   SH         DEFINED      4                            494
SCHWAB CHARLES CORP NEW         COM    808513105       11,563     1,026   SH         DEFINED      3                          1,026
SCHWAB CHARLES CORP NEW         COM    808513105          383        34   SH         DEFINED      2                             34
SCHWAB STRATEGIC TR             COM    808524847        7,722       330   SH         DEFINED      4                            330
SCHWEITZER MAUDUIT INTL IN      COM    808541106      737,316    13,197   SH         SOLE         1     13,197
SCICLONE PHARMACEUTICALS I      COM    80862K104       96,187    25,246   SH         SOLE         1     25,246
SCIENTIFIC GAMES CORP A         COM    80874P109    1,198,275   168,297   SH         SOLE         1    168,297
SCIQUEST INC                    COM    80908T101      134,580     9,008   SH         SOLE         1      9,008
SCORPIO TANKERS INC             COM    Y7542C106       95,853    18,154   SH         SOLE         1     18,154
SCOTTS MIRACLE GRO CO CL A      COM    810186106    4,344,397    97,408   SH         SOLE         1     97,408
SCRIPPS NETWORKS INTER CL       COM    811065101    1,152,233    30,999   SH         SOLE         1     30,999
SEABOARD CORP                   COM    811543107      410,854       228   SH         SOLE         1        228
SEABRIDGE GOLD INC              COM    811916105       55,076     2,450   SH         DEFINED      4                          2,450
SEABRIDGE GOLD INC              COM    811916105        4,496       200   SH         DEFINED      3                            200
SEABRIDGE GOLD INC              COM    811916105       21,851       972   SH         DEFINED      2                            972
SEABRIGHT HOLDINGS INC          COM    811656107      105,199    14,611   SH         SOLE         1     14,611
SEACHANGE INTERNATIONAL IN      COM    811699107      148,695    19,311   SH         SOLE         1     19,311
SEACHANGE INTL INC              COM    811699107       86,240    11,200   SH         DEFINED      4                         11,200
SEACOAST BANKING CORP/FL        COM    811707306       77,812    52,933   SH         SOLE         1     52,933
SEACOR HOLDINGS INC             COM    811904101      202,851     2,529   SH         SOLE         1      2,529
SEACUBE CONTAINER LEASING       COM    G79978105       97,889     8,070   SH         SOLE         1      8,070
SEADRILL LIMITED                COM    G7945E105      204,823     7,440   SH         DEFINED      4                          7,440
SEADRILL LIMITED                COM    G7945E105      311,769    11,325   SH         DEFINED      3                         11,325
SEADRILL LIMITED                COM    G7945E105      140,460     5,102   SH         DEFINED      2                          5,102
SEAGATE TECHNOLOGY              COM    G7945M107      561,720    54,642   SH         SOLE         1     54,642
SEAGATE TECHNOLOGY PLC          COM    G7945M107       42,980     4,183   SH         DEFINED      4                          4,183
SEAGATE TECHNOLOGY PLC          COM    G7945M107       15,639     1,522   SH         DEFINED      3                          1,522
SEAGATE TECHNOLOGY PLC          COM    G7945M107        1,284       125   SH         DEFINED      2                            125
SEALED AIR CORP                 COM    81211K100    1,767,428   105,834   SH         SOLE         1    105,834
SEALED AIR CORP NEW             COM    81211K100        7,427       445   SH         DEFINED      3                            445
SEALY CORP                      COM    812139301       53,456    36,119   SH         SOLE         1     36,119
SEARS HLDGS CORP                COM    812350106          978        17   SH         DEFINED      3                             17
SEARS HOLDINGS CORP             COM    812350106    1,048,014    18,220   SH         SOLE         1     18,220
SEASPAN CORP                    COM    Y75638109        3,438       300   SH         DEFINED      3                            300
SEASPAN CORP                    COM    Y75638109       16,059     1,401   SH         DEFINED      2                          1,401
SEATTLE GENETICS INC            COM    812578102    1,343,139    70,469   SH         SOLE         1     70,469
SEATTLE GENETICS INC            COM    812578102        6,664       350   SH         DEFINED      3                            350
SEATTLE GENETICS INC            COM    812578102          952        50   SH         DEFINED      2                             50
SEI INVESTMENTS CO              COM    784117103        6,152       400   SH         DEFINED      4                            400
SEI INVESTMENTS CO              COM    784117103      111,736     7,265   SH         DEFINED      2                          7,265
SEI INVESTMENTS COMPANY         COM    784117103    5,022,001   326,528   SH         SOLE         1    326,528
SELECT COMFORT CORPORATION      COM    81616X103      636,655    45,573   SH         SOLE         1     45,573
SELECT MEDICAL HOLDINGS CO      COM    81619Q105      217,956    32,677   SH         SOLE         1     32,677
SELECT SECTOR SPDR TR           COM    81369Y100        9,100       310   SH         DEFINED      4                            310
SELECT SECTOR SPDR TR           COM    81369Y209    2,216,150    69,844   SH         DEFINED      4                         69,844
SELECT SECTOR SPDR TR           COM    81369Y308    2,350,229    79,239   SH         DEFINED      4                         79,239
SELECT SECTOR SPDR TR           COM    81369Y407        3,172        91   SH         DEFINED      4                             91
SELECT SECTOR SPDR TR           COM    81369Y506      155,052     2,650   SH         DEFINED      4                          2,650






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
SELECT SECTOR SPDR TR           COM    81369Y605       15,944     1,350   SH         DEFINED      4                          1,350
SELECT SECTOR SPDR TR           COM    81369Y803      198,051     8,392   SH         DEFINED      4                          8,392
SELECT SECTOR SPDR TR           COM    81369Y886    2,513,052    74,749   SH         DEFINED      4                         74,749
SELECT SECTOR SPDR TR           COM    81369Y100       61,908     2,109   SH         DEFINED      3                          2,109
SELECT SECTOR SPDR TR           COM    81369Y209       36,254     1,143   SH         DEFINED      3                          1,143
SELECT SECTOR SPDR TR           COM    81369Y308      202,641     6,832   SH         DEFINED      3                          6,832
SELECT SECTOR SPDR TR           COM    81369Y407       19,007       545   SH         DEFINED      3                            545
SELECT SECTOR SPDR TR           COM    81369Y506      323,788     5,534   SH         DEFINED      3                          5,534
SELECT SECTOR SPDR TR           COM    81369Y605       69,388     5,875   SH         DEFINED      3                          5,875
SELECT SECTOR SPDR TR           COM    81369Y704       65,841     2,253   SH         DEFINED      3                          2,253
SELECT SECTOR SPDR TR           COM    81369Y803       86,303     3,657   SH         DEFINED      3                          3,657
SELECT SECTOR SPDR TR           COM    81369Y886      247,446     7,360   SH         DEFINED      3                          7,360
SELECT SECTOR SPDR TR           COM    81369Y100          440        15   SH         DEFINED      2                             15
SELECT SECTOR SPDR TR           COM    81369Y209      961,690    30,309   SH         DEFINED      2                         30,309
SELECT SECTOR SPDR TR           COM    81369Y308    1,259,623    42,469   SH         DEFINED      2                         42,469
SELECT SECTOR SPDR TR           COM    81369Y407        6,379       183   SH         DEFINED      2                            183
SELECT SECTOR SPDR TR           COM    81369Y506      373,842     6,389   SH         DEFINED      2                          6,389
SELECT SECTOR SPDR TR           COM    81369Y605       72,490     6,138   SH         DEFINED      2                          6,138
SELECT SECTOR SPDR TR           COM    81369Y704       50,406     1,725   SH         DEFINED      2                          1,725
SELECT SECTOR SPDR TR           COM    81369Y803      466,943    19,786   SH         DEFINED      2                         19,786
SELECT SECTOR SPDR TR           COM    81369Y886    2,103,324    62,562   SH         DEFINED      2                         62,562
SELECTIVE INSURANCE GROUP       COM    816300107    1,253,674    96,067   SH         SOLE         1     96,067
SEMGROUP CORP CLASS A           COM    81663A105      605,067    30,314   SH         SOLE         1     30,314
SEMICONDUCTOR HLDRS TR          COM    816636203       28,440     1,000   SH         DEFINED      3                          1,000
SEMICONDUCTOR HLDRS TR          COM    816636203        2,844       100   SH         DEFINED      2                            100
SEMICONDUCTOR MFG INTL CORP     COM    81663N206        2,365     1,015   SH         DEFINED      3                          1,015
SEMPRA ENERGY                   COM    816851109    4,103,469    79,679   SH         SOLE         1     79,679
SEMPRA ENERGY                   COM    816851109        2,575        50   SH         DEFINED      4                             50
SEMPRA ENERGY                   COM    816851109      401,347     7,793   SH         DEFINED      3                          7,793
SEMPRA ENERGY                   COM    816851109       15,450       300   SH         DEFINED      2                            300
SEMTECH CORP                    COM    816850101    3,995,412   189,356   SH         SOLE         1    189,356
SEMTECH CORP                    COM    816850101       90,730     4,300   SH         DEFINED      3                          4,300
SENECA FOODS CORP   CL A        COM    817070501      149,668     7,559   SH         SOLE         1      7,559
SENIOR HOUSING PROP TRUST       COM    81721M109    7,261,651   337,124   SH         SOLE         1    337,124
SENIOR HSG PPTYS TR             COM    81721M109      117,824     5,470   SH         DEFINED      4                          5,470
SENIOR HSG PPTYS TR             COM    81721M109       66,472     3,086   SH         DEFINED      3                          3,086
SENIOR HSG PPTYS TR             COM    81721M109       29,704     1,379   SH         DEFINED      2                          1,379
SENOMYX INC                     COM    81724Q107      101,446    28,902   SH         SOLE         1     28,902
SENOMYX INC                     COM    81724Q107       10,530     3,000   SH         DEFINED      2                          3,000
SENSATA TECHNOLOGIES HLDG BV    COM    N7902X106        2,646       100   SH         DEFINED      3                            100
SENSIENT TECHNOLOGIES CORP      COM    81725T100    4,725,088   145,164   SH         SOLE         1    145,164
SEQUENOM INC                    COM    817337405      368,262    72,350   SH         SOLE         1     72,350
SEQUENOM INC                    COM    817337405       91,290    17,900   SH         DEFINED      3                         17,900
SERVICE CORP INTERNATIONAL      COM    817565104    4,776,537   521,456   SH         SOLE         1    521,456
SERVICE CORP INTL               COM    817565104       18,320     2,000   SH         DEFINED      4                          2,000
SERVICESOURCE INTERNATIONA      COM    81763U100       96,420     7,299   SH         SOLE         1      7,299
SERVICESOURCE INTL LLC          COM    81763U100          621        47   SH         DEFINED      2                             47
SHAW COMMUNICATIONS INC         COM    82028K200        6,484       321   SH         DEFINED      2                            321
SHAW GROUP INC                  COM    820280105    3,448,094   158,606   SH         SOLE         1    158,606
SHAW GROUP INC                  COM    820280105        4,348       200   SH         DEFINED      3                            200
SHAW GROUP INC                  COM    820280105       86,960     4,000   SH         DEFINED      2                          4,000
SHENANDOAH TELECOMMUNICATI      COM    82312B106      193,379    17,359   SH         SOLE         1     17,359
SHERWIN WILLIAMS CO             COM    824348106      144,478     1,944   SH         DEFINED      4                          1,944
SHERWIN WILLIAMS CO             COM    824348106        7,432       100   SH         DEFINED      3                            100
SHERWIN WILLIAMS CO             COM    824348106        6,169        83   SH         DEFINED      2                             83
SHERWIN WILLIAMS CO/THE         COM    824348106    2,079,176    27,976   SH         SOLE         1     27,976
SHILOH INDUSTRIES INC           COM    824543102       35,234     3,928   SH         SOLE         1      3,928
SHINHAN FINANCIAL GROUP CO L    COM    824596100        6,844       100   SH         DEFINED      3                            100
SHIP FINANCE INTERNATIONAL L    COM    G81075106       52,559     4,043   SH         DEFINED      3                          4,043
SHIP FINANCE INTERNATIONAL L    COM    G81075106      100,734     7,749   SH         DEFINED      2                          7,749
SHIP FINANCE INTL LTD           COM    G81075106      427,479    32,883   SH         SOLE         1     32,883
SHIRE PLC                       COM    82481R106        4,154        44   SH         DEFINED      3                             44
SHIRE PLC                       COM    82481R106        1,597        17   SH         DEFINED      2                             17
SHOE CARNIVAL INC               COM    824889109      157,790     6,686   SH         SOLE         1      6,686
SHORETEL INC                    COM    825211105      171,561    34,450   SH         SOLE         1     34,450
SHORETEL INC                    COM    825211105       19,686     3,953   SH         DEFINED      2                          3,953
SHUFFLE MASTER INC              COM    825549108      372,336    44,273   SH         SOLE         1     44,273
SHUTTERFLY INC                  COM    82568P304      895,994    21,758   SH         SOLE         1     21,758
SIEMENS A G                     COM    826197501       40,406       450   SH         DEFINED      4                            450
SIEMENS A G                     COM    826197501       56,568       630   SH         DEFINED      3                            630
SIEMENS A G                     COM    826197501        4,490        50   SH         DEFINED      2                             50
SIERRA BANCORP                  COM    82620P102       79,459     8,684   SH         SOLE         1      8,684
SIGA TECHNOLOGIES INC           COM    826917106       82,139    25,119   SH         SOLE         1     25,119
SIGMA ALDRICH                   COM    826552101    3,654,261    59,140   SH         SOLE         1     59,140
SIGMA ALDRICH CORP              COM    826552101      343,738     5,563   SH         DEFINED      4                          5,563
SIGMA DESIGNS INC               COM    826565103      204,491    26,083   SH         SOLE         1     26,083
SIGMA DESIGNS INC               COM    826565103          235        30   SH         DEFINED      2                             30
SIGNATURE BANK                  COM    82669G104    1,801,330    37,740   SH         SOLE         1     37,740
SIGNATURE BK NEW YORK N Y       COM    82669G104        1,909        40   SH         DEFINED      2                             40
SIGNET JEWELERS LTD             COM    G81276100    2,759,297    81,636   SH         SOLE         1     81,636
SILGAN HOLDINGS INC             COM    827048109    3,988,972   108,573   SH         SOLE         1    108,573






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
SILGAN HOLDINGS INC             COM    827048109        4,850       132   SH         DEFINED      2                            132
SILICON GRAPHICS INTERNATI      COM    82706L108      269,785    22,633   SH         SOLE         1     22,633
SILICON GRAPHICS INTL CORP      COM    82706L108        3,576       300   SH         DEFINED      2                            300
SILICON IMAGE INC               COM    82705T102      340,824    58,062   SH         SOLE         1     58,062
SILICON IMAGE INC               COM    82705T102        2,348       400   SH         DEFINED      3                            400
SILICON LABORATORIES INC        COM    826919102    3,235,692    96,559   SH         SOLE         1     96,559
SILICON LABORATORIES INC        COM    826919102          771        23   SH         DEFINED      2                             23
SILICONWARE PRECISION INDS L    COM    827084864          497       104   SH         DEFINED      3                            104
SILVER STD RES INC              COM    82823L106       47,710     2,600   SH         DEFINED      3                          2,600
SILVER STD RES INC              COM    82823L906          450        10   SH  C      DEFINED      3                             10
SILVER WHEATON CORP             COM    828336107      230,093     7,813   SH         DEFINED      4                          7,813
SILVER WHEATON CORP             COM    828336107      403,907    13,715   SH         DEFINED      3                         13,715
SILVER WHEATON CORP             COM    828336107      156,232     5,305   SH         DEFINED      2                          5,305
SILVERCORP METALS INC           COM    82835P103        2,373       300   SH         DEFINED      4                            300
SILVERCORP METALS INC           COM    82835P103       28,239     3,570   SH         DEFINED      3                          3,570
SILVERCORP METALS INC           COM    82835P103       34,804     4,400   SH         DEFINED      2                          4,400
SIMCERE PHARMACEUTICAL GROUP    COM    82859P104       16,067     1,618   SH         DEFINED      4                          1,618
SIMMONS FIRST NATL CORP CL      COM    828730200      308,118    14,199   SH         SOLE         1     14,199
SIMON PPTY GROUP INC NEW        COM    828806109        2,200        20   SH         DEFINED      4                             20
SIMON PPTY GROUP INC NEW        COM    828806109      130,326     1,185   SH         DEFINED      3                          1,185
SIMON PROPERTY GROUP INC        COM    828806109   13,193,641   119,964   SH         SOLE         1    119,964
SIMPSON MANUFACTURING CO I      COM    829073105      847,096    33,979   SH         SOLE         1     33,979
SINA CORP                       COM    G81477104        3,581        50   SH         DEFINED      4                             50
SINA CORP                       COM    G81477104       53,493       747   SH         DEFINED      2                            747
SINCLAIR BROADCAST GROUP A      COM    829226109      264,114    36,836   SH         SOLE         1     36,836
SINCLAIR BROADCAST GROUP INC    COM    829226109      406,625    56,712   SH         DEFINED      4                         56,712
SINOCOKING COAL & COKE CH IN    COM    829357102           25         8   SH         DEFINED      3                              8
SINOPEC SHANGHAI PETROCHEMIC    COM    82935M109      258,729     7,426   SH         DEFINED      2                          7,426
SINOVAC BIOTECH LTD             COM    P8696W104        8,028     3,600   SH         DEFINED      3                          3,600
SIRIUS XM RADIO INC             COM    82967N108      397,841   263,471   SH         SOLE         1    263,471
SIRIUS XM RADIO INC             COM    82967N108       16,278    10,780   SH         DEFINED      4                         10,780
SIRIUS XM RADIO INC             COM    82967N908        2,100       150   SH  C      DEFINED      4                            150
SIRIUS XM RADIO INC             COM    82967N108      105,631    69,954   SH         DEFINED      3                         69,954
SIRIUS XM RADIO INC             COM    82967N108       27,973    18,525   SH         DEFINED      2                         18,525
SIRONA DENTAL SYSTEMS INC       COM    82966C103    3,955,835    93,276   SH         SOLE         1     93,276
SIX FLAGS ENTERTAINMENT CO      COM    83001A102      844,129    30,452   SH         SOLE         1     30,452
SIX FLAGS ENTMT CORP NEW        COM    83001A102          776        28   SH         DEFINED      3                             28
SIX FLAGS ENTMT CORP NEW        COM    83001A102       22,952       828   SH         DEFINED      2                            828
SJW CORP                        COM    784305104      224,187    10,298   SH         SOLE         1     10,298
SK TELECOM LTD                  COM    78440P108          563        40   SH         DEFINED      4                             40
SKECHERS USA INC CL A           COM    830566105      429,697    30,627   SH         SOLE         1     30,627
SKILLED HEALTHCARE GROU CL      COM    83066R107       51,045    14,140   SH         SOLE         1     14,140
SKULLCANDY INC                  COM    83083J104          353        25   SH         DEFINED      2                             25
SKYLINE CORP                    COM    830830105       53,652     5,618   SH         SOLE         1      5,618
SKYWEST INC                     COM    830879102      497,635    43,235   SH         SOLE         1     43,235
SKYWEST INC                     COM    830879102        3,257       283   SH         DEFINED      3                            283
SKYWORKS SOLUTIONS INC          COM    83088M102   12,175,268   678,666   SH         SOLE         1    678,666
SKYWORKS SOLUTIONS INC          COM    83088M102        3,592       200   SH         DEFINED      4                            200
SKYWORKS SOLUTIONS INC          COM    83088M102       10,040       559   SH         DEFINED      3                            559
SKYWORKS SOLUTIONS INC          COM    83088M102       12,572       700   SH         DEFINED      2                            700
SL GREEN REALTY CORP            COM    78440X101   10,912,429   187,660   SH         SOLE         1    187,660
SLM CORP                        COM    78442P106    2,397,322   192,556   SH         SOLE         1    192,556
SLM CORP                        COM    78442P106        1,245       100   SH         DEFINED      4                            100
SLM CORP                        COM    78442P106        1,868       150   SH         DEFINED      3                            150
SM ENERGY CO                    COM    78454L100    8,445,937   139,257   SH         SOLE         1    139,257
SM ENERGY CO                    COM    78454L100       30,325       500   SH         DEFINED      4                            500
SM ENERGY CO                    COM    78454L100       48,520       800   SH         DEFINED      3                            800
SMART BALANCE INC               COM    83169Y108      256,361    43,451   SH         SOLE         1     43,451
SMART TECHNOLOGIES INC          COM    83172R108          420       100   SH         DEFINED      3                            100
SMITH & NEPHEW PLC              COM    83175M205       14,301       320   SH         DEFINED      4                            320
SMITH & WESSON HLDG CORP        COM    831756101       10,080     4,000   SH         DEFINED      3                          4,000
SMITH & WESSON HLDG CORP        COM    831756101        1,260       500   SH         DEFINED      2                            500
SMITH (A.O.) CORP               COM    831865209      999,752    31,213   SH         SOLE         1     31,213
SMITH + WESSON HOLDING COR      COM    831756101      110,903    44,009   SH         SOLE         1     44,009
SMITH A O                       COM    831865209        4,420       138   SH         DEFINED      3                            138
SMITH A O                       COM    831865209        6,406       200   SH         DEFINED      2                            200
SMITH MICRO SOFTWARE INC        COM    832154108       44,115    29,023   SH         SOLE         1     29,023
SMITH MICRO SOFTWARE INC        COM    832154108          456       300   SH         DEFINED      2                            300
SMITHFIELD FOODS INC            COM    832248108    7,076,121   362,878   SH         SOLE         1    362,878
SMITHFIELD FOODS INC            COM    832248108        1,950       100   SH         DEFINED      4                            100
SMITHFIELD FOODS INC            COM    832248108        4,641       238   SH         DEFINED      3                            238
SMUCKER J M CO                  COM    832696405       14,724       202   SH         DEFINED      4                            202
SMUCKER J M CO                  COM    832696405      237,160     3,254   SH         DEFINED      3                          3,254
SMUCKER J M CO                  COM    832696405       30,905       424   SH         DEFINED      2                            424
SNAP ON INC                     COM    833034101      914,951    20,607   SH         SOLE         1     20,607
SNAP ON INC                     COM    833034101          888        20   SH         DEFINED      3                             20
SNAP ON INC                     COM    833034101        2,220        50   SH         DEFINED      2                             50
SNYDERS LANCE INC               COM    833551104      805,832    38,649   SH         SOLE         1     38,649
SOCIEDAD QUIMICA MINERA DE C    COM    833635105       47,810     1,000   SH         DEFINED      4                          1,000
SOCIEDAD QUIMICA MINERA DE C    COM    833635105        4,781       100   SH         DEFINED      3                            100
SOCKET MOBILE INC               COM    83368E200          296       130   SH         DEFINED      4                            130






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
SODASTREAM INTERNATIONAL LTD    COM    M9068E105       42,965     1,300   SH         DEFINED      3                          1,300
SODASTREAM INTERNATIONAL LTD    COM    M9068E105       20,260       613   SH         DEFINED      2                            613
SOHU COM INC                    COM    83408W103          723        15   SH         DEFINED      2                             15
SOLAR CAP LTD                   COM    83413U100       60,776     3,019   SH         DEFINED      4                          3,019
SOLAR CAPITAL LTD               COM    83413U100      536,324    26,643   SH         SOLE         1     26,643
SOLAR SENIOR CAPITAL LTD        COM    83416M105       80,910     5,662   SH         SOLE         1      5,662
SOLARWINDS INC                  COM    83416B109      916,340    41,614   SH         SOLE         1     41,614
SOLARWINDS INC                  COM    83416B109       33,030     1,500   SH         DEFINED      3                          1,500
SOLAZYME INC                    COM    83415T101       76,995     8,012   SH         SOLE         1      8,012
SOLAZYME INC                    COM    83415T101        9,130       950   SH         DEFINED      4                            950
SOLAZYME INC                    COM    83415T101        4,805       500   SH         DEFINED      2                            500
SOLERA HOLDINGS INC             COM    83421A104    7,813,259   154,718   SH         SOLE         1    154,718
SOLERA HOLDINGS INC             COM    83421A104        2,525        50   SH         DEFINED      2                             50
SOLTA MEDICAL INC               COM    83438K103       55,326    44,261   SH         SOLE         1     44,261
SOLUTIA INC                     COM    834376501       21,755     1,693   SH         SOLE         1      1,693
SOLUTIA INC                     COM    834376501           39         3   SH         DEFINED      4                              3
SOLUTIA INC                     COM    834376147           16        24   SH         DEFINED      4                             24
SOLUTIA INC                     COM    834376501        1,349       105   SH         DEFINED      2                            105
SONDE RES CORP                  COM    835426107          916       400   SH         DEFINED      2                            400
SONIC AUTOMOTIVE INC CLASS      COM    83545G102      350,675    32,500   SH         SOLE         1     32,500
SONIC CORP                      COM    835451105      358,025    50,640   SH         SOLE         1     50,640
SONIC CORP                      COM    835451105       10,732     1,518   SH         DEFINED      4                          1,518
SONIC CORP                      COM    835451105       16,021     2,266   SH         DEFINED      3                          2,266
SONIC CORP                      COM    835451105        8,024     1,135   SH         DEFINED      2                          1,135
SONOCO PRODS CO                 COM    835495102       13,042       462   SH         DEFINED      3                            462
SONOCO PRODS CO                 COM    835495102       31,138     1,103   SH         DEFINED      2                          1,103
SONOCO PRODUCTS CO              COM    835495102    6,199,675   219,613   SH         SOLE         1    219,613
SONOSITE INC                    COM    83568G104      343,388    11,318   SH         SOLE         1     11,318
SONUS NETWORKS INC              COM    835916107      334,430   154,115   SH         SOLE         1    154,115
SONY CORP                       COM    835699307        9,500       500   SH         DEFINED      3                            500
SOTHEBY S                       COM    835898107    5,396,469   195,737   SH         SOLE         1    195,737
SOTHEBYS                        COM    835898107           83         3   SH         DEFINED      3                              3
SOURCEFIRE INC                  COM    83616T108      623,508    23,300   SH         SOLE         1     23,300
SOURCEFIRE INC                  COM    83616T108       13,380       500   SH         DEFINED      2                            500
SOUTH JERSEY INDS INC           COM    838518108      207,766     4,176   SH         DEFINED      2                          4,176
SOUTH JERSEY INDUSTRIES         COM    838518108    4,421,283    88,870   SH         SOLE         1     88,870
SOUTHERN CO                     COM    842587107   10,950,272   258,444   SH         SOLE         1    258,444
SOUTHERN CO                     COM    842587107      549,957    12,980   SH         DEFINED      4                         12,980
SOUTHERN CO                     COM    842587107      619,764    14,627   SH         DEFINED      3                         14,627
SOUTHERN CO                     COM    842587107      800,737    18,899   SH         DEFINED      2                         18,899
SOUTHERN COPPER CORP            COM    84265V105       86,590     3,465   SH         DEFINED      4                          3,465
SOUTHERN COPPER CORP            COM    84265V105      245,977     9,843   SH         DEFINED      3                          9,843
SOUTHERN COPPER CORP            COM    84265V105       55,049     2,203   SH         DEFINED      2                          2,203
SOUTHERN UN CO NEW              COM    844030106       15,092       372   SH         DEFINED      3                            372
SOUTHERN UN CO NEW              COM    844030106       46,684     1,151   SH         DEFINED      2                          1,151
SOUTHERN UNION CO               COM    844030106   11,121,860   274,140   SH         SOLE         1    274,140
SOUTHSIDE BANCSHARES INC        COM    84470P109      216,264    12,008   SH         SOLE         1     12,008
SOUTHWALL TECHNOLOGIES INC      COM    844909200          202        21   SH         DEFINED      3                             21
SOUTHWEST AIRLINES CO           COM    844741108    2,122,319   263,970   SH         SOLE         1    263,970
SOUTHWEST AIRLS CO              COM    844741108        1,608       200   SH         DEFINED      4                            200
SOUTHWEST AIRLS CO              COM    844741108       49,899     6,206   SH         DEFINED      3                          6,206
SOUTHWEST AIRLS CO              COM    844741108       32,538     4,047   SH         DEFINED      2                          4,047
SOUTHWEST BANCORP INC/OKLA      COM    844767103       59,916    14,198   SH         SOLE         1     14,198
SOUTHWEST GAS CORP              COM    844895102    1,358,618    37,562   SH         SOLE         1     37,562
SOUTHWEST GAS CORP              COM    844895102        4,452       123   SH         DEFINED      4                            123
SOUTHWESTERN ENERGY CO          COM    845467109    4,857,681   145,745   SH         SOLE         1    145,745
SOUTHWESTERN ENERGY CO          COM    845467109        3,433       103   SH         DEFINED      4                            103
SOUTHWESTERN ENERGY CO          COM    845467109       87,625     2,629   SH         DEFINED      3                          2,629
SOVRAN SELF STORAGE INC         COM    84610H108      843,053    22,681   SH         SOLE         1     22,681
SOVRAN SELF STORAGE INC         COM    84610H108       22,822       614   SH         DEFINED      2                            614
SPANSION INC CLASS A            COM    84649R200      449,048    36,747   SH         SOLE         1     36,747
SPARTAN MOTORS INC              COM    846819100      112,832    27,320   SH         SOLE         1     27,320
SPARTAN MTRS INC                COM    846819100        8,260     2,000   SH         DEFINED      3                          2,000
SPARTAN STORES INC              COM    846822104      286,798    18,527   SH         SOLE         1     18,527
SPARTECH CORP                   COM    847220209       72,147    22,546   SH         SOLE         1     22,546
SPDR DOW JONES INDL AVRG ETF    COM    78467X109       95,137       873   SH         DEFINED      4                            873
SPDR DOW JONES INDL AVRG ETF    COM    78467X109    1,659,734    15,237   SH         DEFINED      3                         15,237
SPDR DOW JONES INDL AVRG ETF    COM    78467X109       45,968       422   SH         DEFINED      2                            422
SPDR GOLD TRUST                 COM    78463V107    3,443,021    21,783   SH         DEFINED      4                         21,783
SPDR GOLD TRUST                 COM    78463V107    2,240,342    14,174   SH         DEFINED      3                         14,174
SPDR GOLD TRUST                 COM    78463V107    7,368,915    46,621   SH         DEFINED      2                         46,621
SPDR INDEX SHS FDS              COM    78463X509        8,886       158   SH         DEFINED      4                            158
SPDR INDEX SHS FDS              COM    78463X798       22,462     1,100   SH         DEFINED      4                          1,100
SPDR INDEX SHS FDS              COM    78463X806       30,290       500   SH         DEFINED      4                            500
SPDR INDEX SHS FDS              COM    78463X863        2,724        85   SH         DEFINED      4                             85
SPDR INDEX SHS FDS              COM    78463X640       22,550     1,000   SH         DEFINED      4                          1,000
SPDR INDEX SHS FDS              COM    78463X756       19,410       500   SH         DEFINED      4                            500
SPDR INDEX SHS FDS              COM    78463X848      288,628    10,682   SH         DEFINED      4                         10,682
SPDR INDEX SHS FDS              COM    78463X509       43,867       780   SH         DEFINED      3                            780
SPDR INDEX SHS FDS              COM    78463X608        7,714       215   SH         DEFINED      3                            215
SPDR INDEX SHS FDS              COM    78463X772       71,216     1,600   SH         DEFINED      3                          1,600






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
SPDR INDEX SHS FDS              COM    78463X798       17,398       852   SH         DEFINED      3                            852
SPDR INDEX SHS FDS              COM    78463X863       14,006       437   SH         DEFINED      3                            437
SPDR INDEX SHS FDS              COM    78463X103       11,160       400   SH         DEFINED      3                            400
SPDR INDEX SHS FDS              COM    78463X681        3,954       135   SH         DEFINED      3                            135
SPDR INDEX SHS FDS              COM    78463X749       70,114     2,160   SH         DEFINED      3                          2,160
SPDR INDEX SHS FDS              COM    78463X756        1,320        34   SH         DEFINED      3                             34
SPDR INDEX SHS FDS              COM    78463X301       52,437       815   SH         DEFINED      2                            815
SPDR INDEX SHS FDS              COM    78463X400        1,674        30   SH         DEFINED      2                             30
SPDR INDEX SHS FDS              COM    78463X798      145,765     7,138   SH         DEFINED      2                          7,138
SPDR INDEX SHS FDS              COM    78463X822      150,097     3,489   SH         DEFINED      2                          3,489
SPDR INDEX SHS FDS              COM    78463X863        6,218       194   SH         DEFINED      2                            194
SPDR INDEX SHS FDS              COM    78463X871        3,190       127   SH         DEFINED      2                            127
SPDR INDEX SHS FDS              COM    78463X707        1,904        30   SH         DEFINED      2                             30
SPDR INDEX SHS FDS              COM    78463X749      104,197     3,210   SH         DEFINED      2                          3,210
SPDR INDEX SHS FDS              COM    78463X848        5,218       193   SH         DEFINED      2                            193
SPDR INDEX SHS FDS              COM    78463X889        8,456       400   SH         DEFINED      2                            400
SPDR S&P 500 ETF TR             COM    78462F103    1,726,216    15,256   SH         DEFINED      4                         15,256
SPDR S&P 500 ETF TR             COM    78462F103      667,022     5,895   SH         DEFINED      3                          5,895
SPDR S&P 500 ETF TR             COM    78462F103      667,879     5,903   SH         DEFINED      2                          5,903
SPDR S&P 500 ETF TR             COM    78462F903        5,187        21   SH  C      DEFINED      2                             21
SPDR S&P 500 ETF TR             COM    78462F953        4,240        20   SH  P      DEFINED      2                             20
SPDR S&P MIDCAP 400 ETF TR      COM    78467Y107      311,193     2,189   SH         DEFINED      4                          2,189
SPDR S&P MIDCAP 400 ETF TR      COM    78467Y107      140,851       991   SH         DEFINED      3                            991
SPDR S&P MIDCAP 400 ETF TR      COM    78467Y107      665,547     4,683   SH         DEFINED      2                          4,683
SPDR SERIES TRUST               COM    78464A417       58,592     1,619   SH         DEFINED      4                          1,619
SPDR SERIES TRUST               COM    78464A516        9,137       152   SH         DEFINED      4                            152
SPDR SERIES TRUST               COM    78464A607        2,882        51   SH         DEFINED      4                             51
SPDR SERIES TRUST               COM    78464A672       36,707       599   SH         DEFINED      4                            599
SPDR SERIES TRUST               COM    78464A680    7,634,850   166,518   SH         DEFINED      4                        166,518
SPDR SERIES TRUST               COM    78464A706       55,139     1,150   SH         DEFINED      4                          1,150
SPDR SERIES TRUST               COM    78464A763      128,463     2,646   SH         DEFINED      4                          2,646
SPDR SERIES TRUST               COM    78464A805      756,947     8,992   SH         DEFINED      4                          8,992
SPDR SERIES TRUST               COM    78464A300      226,966     3,998   SH         DEFINED      4                          3,998
SPDR SERIES TRUST               COM    78464A375      388,187    11,710   SH         DEFINED      4                         11,710
SPDR SERIES TRUST               COM    78464A441       11,472       500   SH         DEFINED      4                            500
SPDR SERIES TRUST               COM    78464A490       28,605       500   SH         DEFINED      4                            500
SPDR SERIES TRUST               COM    78464A649      588,585    10,101   SH         DEFINED      4                         10,101
SPDR SERIES TRUST               COM    78464A417      875,979    24,205   SH         DEFINED      3                         24,205
SPDR SERIES TRUST               COM    78464A458       68,123     2,910   SH         DEFINED      3                          2,910
SPDR SERIES TRUST               COM    78464A516      176,904     2,943   SH         DEFINED      3                          2,943
SPDR SERIES TRUST               COM    78464A607        2,091        37   SH         DEFINED      3                             37
SPDR SERIES TRUST               COM    78464A656      658,369    11,591   SH         DEFINED      3                         11,591
SPDR SERIES TRUST               COM    78464A722       13,631       298   SH         DEFINED      3                            298
SPDR SERIES TRUST               COM    78464A748       15,593       550   SH         DEFINED      3                            550
SPDR SERIES TRUST               COM    78464A755      215,363     4,804   SH         DEFINED      3                          4,804
SPDR SERIES TRUST               COM    78464A763      309,120     6,367   SH         DEFINED      3                          6,367
SPDR SERIES TRUST               COM    78464A789       48,067     1,505   SH         DEFINED      3                          1,505
SPDR SERIES TRUST               COM    78464A797       59,185     3,374   SH         DEFINED      3                          3,374
SPDR SERIES TRUST               COM    78464A805      238,210     2,830   SH         DEFINED      3                          2,830
SPDR SERIES TRUST               COM    78464A813        4,224        75   SH         DEFINED      3                             75
SPDR SERIES TRUST               COM    78464A888        2,645       199   SH         DEFINED      3                            199
SPDR SERIES TRUST               COM    78464A201        3,113        32   SH         DEFINED      3                             32
SPDR SERIES TRUST               COM    78464A292       20,018       472   SH         DEFINED      3                            472
SPDR SERIES TRUST               COM    78464A375       13,028       393   SH         DEFINED      3                            393
SPDR SERIES TRUST               COM    78464A425       45,218     1,857   SH         DEFINED      3                          1,857
SPDR SERIES TRUST               COM    78464A474       60,183     1,985   SH         DEFINED      3                          1,985
SPDR SERIES TRUST               COM    78464A490      142,281     2,487   SH         DEFINED      3                          2,487
SPDR SERIES TRUST               COM    78464A649       10,372       178   SH         DEFINED      3                            178
SPDR SERIES TRUST               COM    78464A417      333,780     9,223   SH         DEFINED      2                          9,223
SPDR SERIES TRUST               COM    78464A458        3,418       146   SH         DEFINED      2                            146
SPDR SERIES TRUST               COM    78464A516       50,553       841   SH         DEFINED      2                            841
SPDR SERIES TRUST               COM    78464A607        6,159       109   SH         DEFINED      2                            109
SPDR SERIES TRUST               COM    78464A656       56,800     1,000   SH         DEFINED      2                          1,000
SPDR SERIES TRUST               COM    78464A714      399,942     8,653   SH         DEFINED      2                          8,653
SPDR SERIES TRUST               COM    78464A730       16,450       384   SH         DEFINED      2                            384
SPDR SERIES TRUST               COM    78464A755        4,483       100   SH         DEFINED      2                            100
SPDR SERIES TRUST               COM    78464A763      529,892    10,914   SH         DEFINED      2                         10,914
SPDR SERIES TRUST               COM    78464A797       20,469     1,167   SH         DEFINED      2                          1,167
SPDR SERIES TRUST               COM    78464A805       12,627       150   SH         DEFINED      2                            150
SPDR SERIES TRUST               COM    78464A821        2,674        40   SH         DEFINED      2                             40
SPDR SERIES TRUST               COM    78464A870        3,987        67   SH         DEFINED      2                             67
SPDR SERIES TRUST               COM    78464A888        6,645       500   SH         DEFINED      2                            500
SPDR SERIES TRUST               COM    78464A201       16,147       166   SH         DEFINED      2                            166
SPDR SERIES TRUST               COM    78464A490       67,679     1,183   SH         DEFINED      2                          1,183
SPECTRA ENERGY CORP             COM    847560109    8,902,722   362,932   SH         SOLE         1    362,932
SPECTRA ENERGY CORP             COM    847560109       17,784       725   SH         DEFINED      4                            725
SPECTRA ENERGY CORP             COM    847560109      186,871     7,618   SH         DEFINED      3                          7,618
SPECTRA ENERGY CORP             COM    847560109       88,774     3,619   SH         DEFINED      2                          3,619
SPECTRA ENERGY PARTNERS LP      COM    84756N109       21,158       750   SH         DEFINED      3                            750
SPECTRANETICS CORP              COM    84760C107      173,880    24,353   SH         SOLE         1     24,353
SPECTRUM BRANDS HOLDINGS I      COM    84763R101      288,235    12,203   SH         SOLE         1     12,203






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
SPECTRUM PHARMACEUTICALS I      COM    84763A108      290,024    38,011   SH         SOLE         1     38,011
SPECTRUM PHARMACEUTICALS INC    COM    84763A108       11,445     1,500   SH         DEFINED      4                          1,500
SPECTRUM PHARMACEUTICALS INC    COM    84763A108        4,006       525   SH         DEFINED      2                            525
SPEEDWAY MOTORSPORTS INC        COM    847788106      104,178     8,624   SH         SOLE         1      8,624
SPIRIT AEROSYSTEMS HLDGS INC    COM    848574109       31,900     2,000   SH         DEFINED      3                          2,000
SPIRIT AEROSYSTEMS HOLD CL      COM    848574109       46,813     2,935   SH         SOLE         1      2,935
SPIRIT AIRLINES INC             COM    848577102      142,300    11,384   SH         SOLE         1     11,384
SPRINT NEXTEL CORP              COM    852061100    3,580,816 1,177,900   SH         SOLE         1  1,177,900
SPRINT NEXTEL CORP              COM    852061100       17,948     5,904   SH         DEFINED      4                          5,904
SPRINT NEXTEL CORP              COM    852061100       43,469    14,299   SH         DEFINED      3                         14,299
SPRINT NEXTEL CORP              COM    852061100       12,126     3,989   SH         DEFINED      2                          3,989
SPROTT PHYSICAL GOLD TRUST      COM    85207H104       48,628     3,466   SH         DEFINED      3                          3,466
SPROTT PHYSICAL GOLD TRUST      COM    85207H104       48,151     3,432   SH         DEFINED      2                          3,432
SPROTT PHYSICAL SILVER TR       COM    85207K107      114,050     8,205   SH         DEFINED      2                          8,205
SPS COMMERCE INC                COM    78463M107      100,216     6,152   SH         SOLE         1      6,152
SPX CORP                        COM    784635104    5,084,598   112,218   SH         SOLE         1    112,218
SPX CORP                        COM    784635104       45,310     1,000   SH         DEFINED      4                          1,000
SPX CORP                        COM    784635104        4,259        94   SH         DEFINED      3                             94
SRS LABS INC                    COM    78464M106       63,065     8,808   SH         SOLE         1      8,808
SS+C TECHNOLOGIES HOLDINGS      COM    78467J100      263,179    18,417   SH         SOLE         1     18,417
ST JOE CO                       COM    790148100        3,478       232   SH         DEFINED      4                            232
ST JOE CO                       COM    790148100       20,207     1,348   SH         DEFINED      2                          1,348
ST JOE CO/THE                   COM    790148100       27,102     1,808   SH         SOLE         1      1,808
ST JUDE MED INC                 COM    790849103       32,571       900   SH         DEFINED      4                            900
ST JUDE MED INC                 COM    790849103       87,797     2,426   SH         DEFINED      3                          2,426
ST JUDE MED INC                 COM    790849103       27,504       760   SH         DEFINED      2                            760
ST JUDE MEDICAL INC             COM    790849103    6,091,827   168,329   SH         SOLE         1    168,329
STAAR SURGICAL CO               COM    852312305      202,480    25,959   SH         SOLE         1     25,959
STAAR SURGICAL CO               COM    852312305        8,580     1,100   SH         DEFINED      3                          1,100
STAG INDUSTRIAL INC             COM    85254J102      118,259    11,594   SH         SOLE         1     11,594
STAGE STORES INC                COM    85254C305      404,186    29,141   SH         SOLE         1     29,141
STAMPS.COM INC                  COM    852857200      179,995     8,806   SH         SOLE         1      8,806
STANCORP FINANCIAL GROUP        COM    852891100    2,695,160    97,757   SH         SOLE         1     97,757
STANCORP FINL GROUP INC         COM    852891100        7,278       264   SH         DEFINED      4                            264
STANCORP FINL GROUP INC         COM    852891100       46,869     1,700   SH         DEFINED      2                          1,700
STANDARD MICROSYSTEMS CORP      COM    853626109      365,981    18,865   SH         SOLE         1     18,865
STANDARD MOTOR PRODS            COM    853666105      209,037    16,117   SH         SOLE         1     16,117
STANDARD PAC CORP NEW           COM    85375C101        4,940     2,000   SH         DEFINED      4                          2,000
STANDARD PACIFIC CORP           COM    85375C101      213,744    86,536   SH         SOLE         1     86,536
STANDARD PARKING CORP           COM    853790103      180,767    11,558   SH         SOLE         1     11,558
STANDARD REGISTER CO            COM    853887107        2,743     1,084   SH         SOLE         1      1,084
STANDEX INTERNATIONAL CORP      COM    854231107      318,896    10,244   SH         SOLE         1     10,244
STANLEY BLACK & DECKER INC      COM    854502101        4,910       100   SH         DEFINED      4                            100
STANLEY BLACK & DECKER INC      COM    854502101       22,448       457   SH         DEFINED      3                            457
STANLEY BLACK & DECKER INC      COM    854502101        8,605       175   SH         DEFINED      2                            175
STANLEY BLACK + DECKER INC      COM    854502101    4,890,360    99,600   SH         SOLE         1     99,600
STANTEC INC                     COM    85472N109        3,339       150   SH         DEFINED      4                            150
STAPLES INC                     COM    855030102    4,805,091   361,285   SH         SOLE         1    361,285
STAPLES INC                     COM    855030102        8,126       611   SH         DEFINED      3                            611
STAPLES INC                     COM    855030102      331,503    24,925   SH         DEFINED      2                         24,925
STAR GAS PARTNERS L P           COM    85512C105       39,200     8,000   SH         DEFINED      3                          8,000
STAR SCIENTIFIC INC             COM    85517P101      180,633    78,196   SH         SOLE         1     78,196
STAR SCIENTIFIC INC             COM    85517P101       57,265    24,790   SH         DEFINED      4                         24,790
STARBUCKS CORP                  COM    855244109   12,228,845   327,939   SH         SOLE         1    327,939
STARBUCKS CORP                  COM    855244109       88,974     2,386   SH         DEFINED      4                          2,386
STARBUCKS CORP                  COM    855244109      904,767    24,263   SH         DEFINED      3                         24,263
STARBUCKS CORP                  COM    855244109      127,486     3,419   SH         DEFINED      2                          3,419
STARWOOD HOTELS + RESORTS       COM    85590A401   12,316,344   317,268   SH         SOLE         1    317,268
STARWOOD HOTELS&RESORTS WRLD    COM    85590A401       20,381       525   SH         DEFINED      4                            525
STARWOOD HOTELS&RESORTS WRLD    COM    85590A401       18,051       465   SH         DEFINED      3                            465
STARWOOD HOTELS&RESORTS WRLD    COM    85590A401       19,410       500   SH         DEFINED      2                            500
STARWOOD PROPERTY TRUST IN      COM    85571B105    1,168,218    68,078   SH         SOLE         1     68,078
STATE AUTO FINANCIAL CORP       COM    855707105      140,574    10,690   SH         SOLE         1     10,690
STATE BANCORP INC               COM    855716106      116,809    11,051   SH         SOLE         1     11,051
STATE BANK FINANCIAL CORP       COM    856190103      291,371    23,088   SH         SOLE         1     23,088
STATE STR CORP                  COM    857477103       23,091       718   SH         DEFINED      4                            718
STATE STR CORP                  COM    857477103        6,239       194   SH         DEFINED      3                            194
STATE STR CORP                  COM    857477103        8,683       270   SH         DEFINED      2                            270
STATE STREET CORP               COM    857477103    8,667,860   269,523   SH         SOLE         1    269,523
STATOIL ASA                     COM    85771P102        4,310       200   SH         DEFINED      4                            200
STATOIL ASA                     COM    85771P102      122,835     5,700   SH         DEFINED      3                          5,700
STATOIL ASA                     COM    85771P102       15,925       739   SH         DEFINED      2                            739
STEC INC                        COM    784774101      304,322    30,012   SH         SOLE         1     30,012
STEC INC                        COM    784774101       50,750     5,000   SH         DEFINED      2                          5,000
STEEL DYNAMICS INC              COM    858119100    4,740,163   477,839   SH         SOLE         1    477,839
STEEL DYNAMICS INC              COM    858119100       12,896     1,300   SH         DEFINED      4                          1,300
STEEL DYNAMICS INC              CNV    858119AP5        6,173         6   PRN        DEFINED      3                              6
STEEL DYNAMICS INC              COM    858119100      268,689    27,086   SH         DEFINED      3                         27,086
STEEL DYNAMICS INC              COM    858119100       63,488     6,400   SH         DEFINED      2                          6,400
STEELCASE INC CL A              COM    858155203      366,567    58,093   SH         SOLE         1     58,093
STEIN MART INC                  COM    858375108      140,575    22,492   SH         SOLE         1     22,492






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
STEINER LEISURE LTD             COM    P8744Y102      447,492    10,976   SH         SOLE         1     10,976
STEINWAY MUSICAL INSTRUMEN      COM    858495104      103,833     4,816   SH         SOLE         1      4,816
STELLARONE CORP                 COM    85856G100      166,991    16,783   SH         SOLE         1     16,783
STEPAN CO                       COM    858586100      446,680     6,649   SH         SOLE         1      6,649
STEPAN CO                       COM    858586100       46,018       685   SH         DEFINED      3                            685
STEREOTAXIS INC                 COM    85916J102       35,755    32,212   SH         SOLE         1     32,212
STERICYCLE INC                  COM    858912108    2,974,613    36,851   SH         SOLE         1     36,851
STERICYCLE INC                  COM    858912108      110,102     1,364   SH         DEFINED      3                          1,364
STERICYCLE INC                  COM    858912108        1,614        20   SH         DEFINED      2                             20
STERIS CORP                     COM    859152100    5,027,210   171,753   SH         SOLE         1    171,753
STERIS CORP                     COM    859152100        2,927       100   SH         DEFINED      2                            100
STERLING BANCORP N Y            COM    859158107    4,514,522   621,835   SH         SOLE         1    621,835
STERLING CONSTRUCTION CO        COM    859241101      134,297    12,023   SH         SOLE         1     12,023
STERLING FINL CORP WASH         COM    859319303        5,385       435   SH         DEFINED      2                            435
STERLING FINL CORP/SPOKANE      COM    859319303      242,524    19,590   SH         SOLE         1     19,590
STERLITE INDS INDIA LTD         COM    859737207           74         8   SH         DEFINED      3                              8
STEVEN MADDEN LTD               COM    556269108      933,461    31,012   SH         SOLE         1     31,012
STEWART ENTERPRISES INC         COM    860370105        8,747     1,470   SH         DEFINED      3                          1,470
STEWART ENTERPRISES INC CL      COM    860370105      342,387    57,544   SH         SOLE         1     57,544
STEWART INFORMATION SERVIC      COM    860372101      132,582    14,998   SH         SOLE         1     14,998
STIFEL FINANCIAL CORP           COM    860630102    1,168,826    44,007   SH         SOLE         1     44,007
STILLWATER MINING CO            COM    86074Q102      639,642    75,252   SH         SOLE         1     75,252
STILLWATER MNG CO               COM    86074Q102        5,100       600   SH         DEFINED      3                            600
STILLWATER MNG CO               COM    86074Q102       25,075     2,950   SH         DEFINED      2                          2,950
STONE ENERGY CORP               COM    861642106      650,767    40,146   SH         SOLE         1     40,146
STONEMOR PARTNERS L P           COM    86183Q100      144,820     5,200   SH         DEFINED      4                          5,200
STONEMOR PARTNERS L P           COM    86183Q100       41,914     1,505   SH         DEFINED      2                          1,505
STONERIDGE INC                  COM    86183P102      100,845    19,319   SH         SOLE         1     19,319
STR HOLDINGS INC                COM    78478V100      208,468    25,705   SH         SOLE         1     25,705
STRATASYS INC                   COM    862685104      320,983    17,313   SH         SOLE         1     17,313
STRATEGIC GLOBAL INCOME FD      COM    862719101       38,473     3,728   SH         DEFINED      2                          3,728
STRATEGIC HOTELS + RESORTS      COM    86272T106      550,262   127,671   SH         SOLE         1    127,671
STRAYER ED INC                  COM    863236105        2,760        36   SH         DEFINED      3                             36
STRAYER EDUCATION INC           COM    863236105   21,154,633   275,918   SH         SOLE         1    275,918
STREAM GLOBAL SERVICES INC      COM    86323M100       13,783     6,691   SH         SOLE         1      6,691
STRYKER CORP                    COM    863667101    7,000,926   148,545   SH         SOLE         1    148,545
STRYKER CORP                    COM    863667101       32,991       700   SH         DEFINED      4                            700
STRYKER CORP                    COM    863667101        9,850       209   SH         DEFINED      3                            209
STRYKER CORP                    COM    863667101       31,225       663   SH         DEFINED      2                            663
STURM RUGER & CO INC            COM    864159108        6,885       265   SH         DEFINED      3                            265
STURM RUGER & CO INC            COM    864159108        5,196       200   SH         DEFINED      2                            200
STURM RUGER + CO INC            COM    864159108      401,703    15,462   SH         SOLE         1     15,462
SUBURBAN PROPANE PARTNERS L     COM    864482104      132,394     2,853   SH         DEFINED      4                          2,853
SUBURBAN PROPANE PARTNERS L     COM    864482104      330,578     7,123   SH         DEFINED      3                          7,123
SUBURBAN PROPANE PARTNERS L     COM    864482104       84,608     1,823   SH         DEFINED      2                          1,823
SUCAMPO PHARMACEUTICALS CL      COM    864909106       34,547     9,262   SH         SOLE         1      9,262
SUCCESSFACTORS INC              COM    864596101    1,400,919    60,936   SH         SOLE         1     60,936
SUFFOLK BANCORP                 COM    864739107       59,022     7,094   SH         SOLE         1      7,094
SUMMER INFANT INC               COM    865646103       64,271     9,738   SH         SOLE         1      9,738
SUMMIT HOTEL PROPERTIES IN      COM    866082100      140,699    19,929   SH         SOLE         1     19,929
SUN BANCORP INC NJ              COM    86663B102       72,785    27,466   SH         SOLE         1     27,466
SUN COMMUNITIES INC             COM    866674104      545,832    15,511   SH         SOLE         1     15,511
SUN HEALTHCARE GROUP INC        COM    86677E100       49,483    18,327   SH         SOLE         1     18,327
SUN HYDRAULICS CORP             COM    866942105      298,363    14,640   SH         SOLE         1     14,640
SUN LIFE FINL INC               COM    866796105       10,349       435   SH         DEFINED      2                            435
SUNAMERICA FCSED ALPHA GRW F    COM    867037103       36,162     2,050   SH         DEFINED      2                          2,050
SUNCOR ENERGY INC NEW           COM    867224107       78,864     3,100   SH         DEFINED      4                          3,100
SUNCOR ENERGY INC NEW           COM    867224107      225,398     8,860   SH         DEFINED      3                          8,860
SUNCOR ENERGY INC NEW           COM    867224107       55,391     2,177   SH         DEFINED      2                          2,177
SUNESIS PHARMACEUTICALS IN      COM    867328601       25,553    20,775   SH         SOLE         1     20,775
SUNOCO INC                      COM    86764P109    1,125,787    36,304   SH         SOLE         1     36,304
SUNOCO INC                      COM    86764P109          155         5   SH         DEFINED      3                              5
SUNOCO LOGISTICS PRTNRS L P     COM    86764L108       44,245       500   SH         DEFINED      4                            500
SUNOCO LOGISTICS PRTNRS L P     COM    86764L108      123,886     1,400   SH         DEFINED      3                          1,400
SUNOCO LOGISTICS PRTNRS L P     COM    86764L108       26,547       300   SH         DEFINED      2                            300
SUNPOWER CORP                   COM    867652109        5,712       706   SH         DEFINED      3                            706
SUNPOWER CORP CLASS A           COM    867652109       22,248     2,750   SH         SOLE         1      2,750
SUNRISE SENIOR LIVING INC       COM    86768K106      194,090    41,920   SH         SOLE         1     41,920
SUNRISE SENIOR LIVING INC       COM    86768K106        5,209     1,125   SH         DEFINED      3                          1,125
SUNSTONE HOTEL INVESTORS I      COM    867892101      491,155    86,319   SH         SOLE         1     86,319
SUNTECH PWR HLDGS CO LTD        COM    86800C104        2,229       965   SH         DEFINED      3                            965
SUNTECH PWR HLDGS CO LTD        COM    86800C104        1,113       482   SH         DEFINED      2                            482
SUNTRUST BANKS INC              COM    867914103    3,206,462   178,633   SH         SOLE         1    178,633
SUNTRUST BKS INC                COM    867914103      179,500    10,000   SH         DEFINED      4                         10,000
SUNTRUST BKS INC                COM    867914103        1,903       106   SH         DEFINED      3                            106
SUNTRUST BKS INC                COM    867914103      101,759     5,669   SH         DEFINED      2                          5,669
SUPER MICRO COMPUTER INC        COM    86800U104      275,247    21,967   SH         SOLE         1     21,967
SUPERCONDUCTOR TECHNOLOGIES     COM    867931305          300       200   SH         DEFINED      4                            200
SUPERCONDUCTOR TECHNOLOGIES     COM    867931305           30        20   SH         DEFINED      3                             20
SUPERIOR ENERGY SERVICES I      COM    868157108    7,714,770   294,008   SH         SOLE         1    294,008
SUPERIOR ENERGY SVCS INC        COM    868157108        1,968        75   SH         DEFINED      3                             75






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
SUPERIOR ENERGY SVCS INC        COM    868157108        5,904       225   SH         DEFINED      2                            225
SUPERIOR INDUSTRIES INTL        COM    868168105      296,563    19,195   SH         SOLE         1     19,195
SUPERMEDIA INC                  COM    868447103        1,550     1,000   SH         DEFINED      3                          1,000
SUPERTEX INC                    COM    868532102      159,385     9,213   SH         SOLE         1      9,213
SUPERVALU INC                   COM    868536103      731,401   109,820   SH         SOLE         1    109,820
SUPERVALU INC                   COM    868536103          113        17   SH         DEFINED      4                             17
SUPERVALU INC                   COM    868536103       16,848     2,530   SH         DEFINED      3                          2,530
SUPPORT.COM INC                 COM    86858W101       70,116    35,412   SH         SOLE         1     35,412
SUREWEST COMMUNICATIONS         COM    868733106      107,516    10,269   SH         SOLE         1     10,269
SURMODICS INC                   COM    868873100      113,159    12,435   SH         SOLE         1     12,435
SUSQUEHANNA BANCSHARES INC      COM    869099101      582,467   106,484   SH         SOLE         1    106,484
SUSSER HLDGS CORP               COM    869233106          777        39   SH         DEFINED      3                             39
SUSSER HOLDINGS CORP            COM    869233106      116,969     5,869   SH         SOLE         1      5,869
SVB FINANCIAL GROUP             COM    78486Q101    4,625,888   125,024   SH         SOLE         1    125,024
SWEDISH EXPT CR CORP            COM    870297405       20,500     2,000   SH         DEFINED      4                          2,000
SWEDISH EXPT CR CORP            COM    870297603       18,020     2,000   SH         DEFINED      3                          2,000
SWEDISH EXPT CR CORP            COM    870297801        2,429       301   SH         DEFINED      3                            301
SWEDISH EXPT CR CORP            COM    870297801       11,944     1,480   SH         DEFINED      2                          1,480
SWIFT ENERGY CO                 COM    870738101      845,985    34,757   SH         SOLE         1     34,757
SWIFT ENERGY CO                 COM    870738101       74,237     3,050   SH         DEFINED      4                          3,050
SWIFT TRANSPORTATION CO         COM    87074U101    1,259,451   195,567   SH         SOLE         1    195,567
SWISHER HYGIENE INC             COM    870808102      250,282    61,798   SH         SOLE         1     61,798
SWISHER HYGIENE INC             COM    870808102        9,315     2,300   SH         DEFINED      4                          2,300
SWS GROUP INC                   COM    78503N107      112,044    23,890   SH         SOLE         1     23,890
SXC HEALTH SOLUTIONS CORP       COM    78505P100       54,753       983   SH         SOLE         1        983
SYCAMORE NETWORKS INC           COM    871206405      263,404    14,593   SH         SOLE         1     14,593
SYCAMORE NETWORKS INC           COM    871206405           90         5   SH         DEFINED      2                              5
SYKES ENTERPRISES INC           COM    871237103      512,621    34,289   SH         SOLE         1     34,289
SYMANTEC CORP                   COM    871503108    5,269,872   323,305   SH         SOLE         1    323,305
SYMANTEC CORP                   COM    871503108        2,999       184   SH         DEFINED      4                            184
SYMANTEC CORP                   COM    871503108       26,748     1,641   SH         DEFINED      3                          1,641
SYMETRA FINANCIAL CORP          COM    87151Q106      899,067   110,315   SH         SOLE         1    110,315
SYMMETRICOM INC                 COM    871543104      153,727    35,421   SH         SOLE         1     35,421
SYMMETRY MEDICAL INC            COM    871546206      229,994    29,792   SH         SOLE         1     29,792
SYMS CORP                       COM    871551107       41,552     4,738   SH         SOLE         1      4,738
SYNAPTICS INC                   COM    87157D109      667,814    27,942   SH         SOLE         1     27,942
SYNAPTICS INC                   COM    87157D109       23,900     1,000   SH         DEFINED      3                          1,000
SYNCHRONOSS TECHNOLOGIES I      COM    87157B103      539,775    21,669   SH         SOLE         1     21,669
SYNCHRONOSS TECHNOLOGIES INC    COM    87157B103       28,647     1,150   SH         DEFINED      3                          1,150
SYNERGETICS USA INC             COM    87160G107       87,577    16,248   SH         SOLE         1     16,248
SYNERGY RES CORP                COM    87164P103        2,850     1,000   SH         DEFINED      4                          1,000
SYNERON MEDICAL LTD             COM    M87245102        2,973       300   SH         DEFINED      3                            300
SYNNEX CORP                     COM    87162W100      540,716    20,638   SH         SOLE         1     20,638
SYNOPSYS INC                    COM    871607107    7,711,548   316,566   SH         SOLE         1    316,566
SYNOPSYS INC                    COM    871607107       11,157       458   SH         DEFINED      2                            458
SYNOVIS LIFE TECHNOLOGIES       COM    87162G105      139,796     8,371   SH         SOLE         1      8,371
SYNOVUS FINANCIAL CORP          COM    87161C105    1,857,755 1,736,220   SH         SOLE         1  1,736,220
SYNOVUS FINL CORP               COM    87161C105        3,210     3,000   SH         DEFINED      4                          3,000
SYNOVUS FINL CORP               COM    87161C105       37,970    35,486   SH         DEFINED      2                         35,486
SYNTA PHARMACEUTICALS CORP      COM    87162T206       55,270    17,006   SH         SOLE         1     17,006
SYNTEL INC                      COM    87162H103      485,888    11,250   SH         SOLE         1     11,250
SYNTROLEUM CORP                 COM    871630109       55,462    64,483   SH         SOLE         1     64,483
SYNUTRA INTERNATIONAL INC       COM    87164C102       67,239    12,639   SH         SOLE         1     12,639
SYSCO CORP                      COM    871829107   12,261,682   473,424   SH         SOLE         1    473,424
SYSCO CORP                      COM    871829107      147,245     5,685   SH         DEFINED      4                          5,685
SYSCO CORP                      COM    871829107      127,713     4,931   SH         DEFINED      3                          4,931
SYSCO CORP                      COM    871829107      564,992    21,814   SH         DEFINED      2                         21,814
SYSTEMAX INC                    COM    871851101      100,361     7,890   SH         SOLE         1      7,890
T ROWE PRICE GROUP INC          COM    74144T108    4,496,781    94,134   SH         SOLE         1     94,134
TAIWAN SEMICONDUCTOR MFG LTD    COM    874039100       25,958     2,271   SH         DEFINED      3                          2,271
TAKE TWO INTERACTIVE SOFTW      COM    874054109      780,881    61,390   SH         SOLE         1     61,390
TAL INTERNATIONAL GROUP IN      COM    874083108      400,312    16,051   SH         SOLE         1     16,051
TALBOTS INC                     COM    874161102      137,857    51,058   SH         SOLE         1     51,058
TALEO CORP CLASS A              COM    87424N104    6,419,969   249,610   SH         SOLE         1    249,610
TAM SA                          COM    87484D103       15,580     1,000   SH         DEFINED      3                          1,000
TANDY LEATHER FACTORY INC       COM    87538X105        2,300       500   SH         DEFINED      2                            500
TANGER FACTORY OUTLET CENT      COM    875465106    1,830,610    70,381   SH         SOLE         1     70,381
TANGER FACTORY OUTLET CTRS I    COM    875465106      403,077    15,497   SH         DEFINED      3                         15,497
TANZANIAN ROYALTY EXPL CORP     COM    87600U104       78,621    21,900   SH         DEFINED      3                         21,900
TARGA RESOURCES CORP            COM    87612G101      357,030    12,001   SH         SOLE         1     12,001
TARGA RESOURCES PARTNERS LP     COM    87611X105        3,288       100   SH         DEFINED      4                            100
TARGA RESOURCES PARTNERS LP     COM    87611X105      114,554     3,484   SH         DEFINED      3                          3,484
TARGA RESOURCES PARTNERS LP     COM    87611X105       10,979       334   SH         DEFINED      2                            334
TARGACEPT INC                   COM    87611R306      301,830    20,122   SH         SOLE         1     20,122
TARGET CORP                     COM    87612E106   20,683,601   421,770   SH         SOLE         1    421,770
TARGET CORP                     COM    87612E106       16,183       330   SH         DEFINED      4                            330
TARGET CORP                     COM    87612E106      322,928     6,585   SH         DEFINED      3                          6,585
TARGET CORP                     COM    87612E106       65,910     1,344   SH         DEFINED      2                          1,344
TASEKO MINES LTD                COM    876511106        5,100     2,000   SH         DEFINED      2                          2,000
TASER INTERNATIONAL INC         COM    87651B104      190,842    44,279   SH         SOLE         1     44,279
TASER INTL INC                  COM    87651B104      346,955    80,500   SH         DEFINED      3                         80,500






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
TASER INTL INC                  COM    87651B104          862       200   SH         DEFINED      2                            200
TATA MTRS LTD                   COM    876568502       24,608     1,600   SH         DEFINED      3                          1,600
TATA MTRS LTD                   COM    876568502        2,461       160   SH         DEFINED      2                            160
TAUBMAN CENTERS INC             COM    876664103    6,401,998   127,251   SH         SOLE         1    127,251
TAYLOR CAPITAL GROUP INC        COM    876851106       50,879     7,925   SH         SOLE         1      7,925
TC PIPELINES LP                 COM    87233Q108      104,558     2,385   SH         DEFINED      4                          2,385
TC PIPELINES LP                 COM    87233Q108       85,269     1,945   SH         DEFINED      3                          1,945
TC PIPELINES LP                 COM    87233Q108       65,102     1,485   SH         DEFINED      2                          1,485
TCF FINANCIAL CORP              COM    872275102    3,209,838   350,419   SH         SOLE         1    350,419
TCF FINL CORP                   COM    872275102       21,993     2,401   SH         DEFINED      2                          2,401
TD AMERITRADE HOLDING CORP      COM    87236Y108       44,821     3,048   SH         SOLE         1      3,048
TE CONNECTIVITY LTD             COM    H84989104        1,857        66   SH         DEFINED      4                             66
TE CONNECTIVITY LTD             COM    H84989104       12,389       440   SH         DEFINED      3                            440
TE CONNECTIVITY LTD             COM    H84989104        2,448        87   SH         DEFINED      2                             87
TEAM HEALTH HOLDINGS INC        COM    87817A107      319,714    19,471   SH         SOLE         1     19,471
TEAM INC                        COM    878155100      298,315    14,219   SH         SOLE         1     14,219
TEAMSTAFF INC                   COM    87815U303        8,150     5,000   SH         DEFINED      2                          5,000
TECH DATA CORP                  COM    878237106    4,133,826    95,624   SH         SOLE         1     95,624
TECHNE CORP                     COM    878377100    5,503,097    80,916   SH         SOLE         1     80,916
TECHNE CORP                     COM    878377100        1,360        20   SH         DEFINED      2                             20
TECHTARGET                      COM    87874R100       60,874    10,661   SH         SOLE         1     10,661
TECK RESOURCES LTD              COM    878742204        6,188       212   SH         DEFINED      3                            212
TECK RESOURCES LTD              COM    878742204       52,454     1,797   SH         DEFINED      2                          1,797
TECO ENERGY INC                 COM    872375100    2,640,264   154,131   SH         SOLE         1    154,131
TECO ENERGY INC                 COM    872375100        9,980       583   SH         DEFINED      3                            583
TECO ENERGY INC                 COM    872375100        9,764       570   SH         DEFINED      2                            570
TECUMSEH PRODUCTS CO CLASS      COM    878895200       98,400    13,498   SH         SOLE         1     13,498
TEEKAY CORP                     COM    Y8564W103       26,205     1,159   SH         SOLE         1      1,159
TEEKAY CORPORATION              COM    Y8564W103        1,651        73   SH         DEFINED      4                             73
TEEKAY LNG PARTNERS L P         COM    Y8564M105       20,228       650   SH         DEFINED      3                            650
TEEKAY OFFSHORE PARTNERS L P    COM    Y8565J101       30,479     1,240   SH         DEFINED      2                          1,240
TEEKAY TANKERS LTD              COM    Y8565N102        1,840       400   SH         DEFINED      3                            400
TEEKAY TANKERS LTD              COM    Y8565N102        5,060     1,100   SH         DEFINED      2                          1,100
TEEKAY TANKERS LTD CLASS A      COM    Y8565N102      142,402    30,957   SH         SOLE         1     30,957
TEJON RANCH CO                  COM    879080109      248,081    10,393   SH         SOLE         1     10,393
TEKELEC                         COM    879101103      304,766    50,458   SH         SOLE         1     50,458
TEKELEC                         COM    879101103        2,416       400   SH         DEFINED      2                            400
TELE NORTE LESTE PART S A       COM    879246106        2,859       300   SH         DEFINED      4                            300
TELECOM CORP NEW ZEALAND LTD    COM    879278208       14,860     1,504   SH         DEFINED      4                          1,504
TELECOM CORP NEW ZEALAND LTD    COM    879278208      133,953    13,558   SH         DEFINED      3                         13,558
TELECOM CORP NEW ZEALAND LTD    COM    879278208       13,832     1,400   SH         DEFINED      2                          1,400
TELECOMMUNICATION SYSTEMS       COM    87929J103      116,889    33,881   SH         SOLE         1     33,881
TELECOMUNICACOES DE SAO PAUL    COM    87929A102        6,613       250   SH         DEFINED      3                            250
TELECOMUNICACOES DE SAO PAUL    COM    87929A102       13,225       500   SH         DEFINED      2                            500
TELEDYNE TECHNOLOGIES INC       COM    879360105    1,470,344    30,093   SH         SOLE         1     30,093
TELEDYNE TECHNOLOGIES INC       COM    879360105        2,785        57   SH         DEFINED      3                             57
TELEDYNE TECHNOLOGIES INC       COM    879360105        1,906        39   SH         DEFINED      2                             39
TELEFLEX INC                    COM    879369106    4,813,168    89,514   SH         SOLE         1     89,514
TELEFLEX INC                    COM    879369106        5,377       100   SH         DEFINED      2                            100
TELEFONICA S A                  COM    879382208       18,030       943   SH         DEFINED      4                            943
TELEFONICA S A                  COM    879382208      117,206     6,130   SH         DEFINED      3                          6,130
TELEFONICA S A                  COM    879382208        8,910       466   SH         DEFINED      2                            466
TELEFONOS DE MEXICO S A B       COM    879403780        5,980       400   SH         DEFINED      4                            400
TELEFONOS DE MEXICO S A B       COM    879403780       17,118     1,145   SH         DEFINED      2                          1,145
TELENAV INC                     COM    879455103      106,697    12,029   SH         SOLE         1     12,029
TELEPHONE AND DATA SYSTEMS      COM    879433100    4,288,739   201,823   SH         SOLE         1    201,823
TELETECH HOLDINGS INC           COM    879939106      316,794    20,787   SH         SOLE         1     20,787
TELLABS INC                     COM    879664100      516,791   120,464   SH         SOLE         1    120,464
TELLABS INC                     COM    879664100          455       106   SH         DEFINED      3                            106
TELLABS INC                     COM    879664100        5,148     1,200   SH         DEFINED      2                          1,200
TELULAR CORP                    COM    87970T208        1,180       200   SH         DEFINED      4                            200
TELULAR CORP                    COM    87970T208        2,950       500   SH         DEFINED      3                            500
TELULAR CORP                    COM    87970T208      139,430    23,632   SH         DEFINED      2                         23,632
TELUS CORP                      COM    87971M202      373,722     8,082   SH         DEFINED      3                          8,082
TELVENT GIT SA                  COM    E90215109        7,710       200   SH         DEFINED      4                            200
TEMPLE INLAND INC               COM    879868107    7,480,459   238,459   SH         SOLE         1    238,459
TEMPLE INLAND INC               COM    879868107       15,685       500   SH         DEFINED      3                            500
TEMPLETON DRAGON FD INC         COM    88018T101        3,630       150   SH         DEFINED      3                            150
TEMPLETON EMERG MKTS INCOME     COM    880192109        4,461       300   SH         DEFINED      4                            300
TEMPLETON EMERG MKTS INCOME     COM    880192109      219,109    14,735   SH         DEFINED      3                         14,735
TEMPLETON EMERG MKTS INCOME     COM    880192109       38,662     2,600   SH         DEFINED      2                          2,600
TEMPLETON EMERGING MKTS FD I    COM    880191101       19,130     1,138   SH         DEFINED      3                          1,138
TEMPLETON EMERGING MKTS FD I    COM    880191101       26,728     1,590   SH         DEFINED      2                          1,590
TEMPLETON GLOBAL INCOME FD      COM    880198106       40,578     4,294   SH         DEFINED      4                          4,294
TEMPLETON GLOBAL INCOME FD      COM    880198106       26,347     2,788   SH         DEFINED      3                          2,788
TEMPLETON GLOBAL INCOME FD      COM    880198106    1,935,899   204,857   SH         DEFINED      2                        204,857
TEMPUR PEDIC INTERNATIONAL      COM    88023U101       56,503     1,074   SH         SOLE         1      1,074
TEMPUR PEDIC INTL INC           COM    88023U101       21,044       400   SH         DEFINED      3                            400
TENET HEALTHCARE CORP           COM    88033G100      651,045   157,638   SH         SOLE         1    157,638
TENET HEALTHCARE CORP           COM    88033G100          127        31   SH         DEFINED      4                             31
TENET HEALTHCARE CORP           COM    88033G100          559       136   SH         DEFINED      3                            136






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
TENNANT CO                      COM    880345103      554,000    15,663   SH         SOLE         1     15,663
TENNECO INC                     COM    880349105    1,130,886    44,158   SH         SOLE         1     44,158
TENNECO INC                     COM    880349105          256        10   SH         DEFINED      3                             10
TENNECO INC                     COM    880349105        2,561       100   SH         DEFINED      2                            100
TERADATA CORP                   COM    88076W103    3,355,635    62,687   SH         SOLE         1     62,687
TERADATA CORP DEL               COM    88076W103       13,383       250   SH         DEFINED      4                            250
TERADATA CORP DEL               COM    88076W103        8,511       159   SH         DEFINED      3                            159
TERADATA CORP DEL               COM    88076W103        5,728       107   SH         DEFINED      2                            107
TERADYNE INC                    COM    880770102      917,816    83,362   SH         SOLE         1     83,362
TERADYNE INC                    COM    880770102        6,044       549   SH         DEFINED      3                            549
TERADYNE INC                    COM    880770102       19,818     1,800   SH         DEFINED      2                          1,800
TEREX CORP                      COM    880779103    2,469,018   240,645   SH         SOLE         1    240,645
TEREX CORP NEW                  COM    880779103        2,052       200   SH         DEFINED      4                            200
TEREX CORP NEW                  COM    880779103      368,385    35,905   SH         DEFINED      3                         35,905
TEREX CORP NEW                  COM    880779103      103,626    10,100   SH         DEFINED      2                         10,100
TERRA NITROGEN CO L P           COM    881005201        6,644        46   SH         DEFINED      3                             46
TERRA NITROGEN CO L P           COM    881005201      220,849     1,529   SH         DEFINED      2                          1,529
TERRENO REALTY CORP             COM    88146M101       87,064     6,786   SH         SOLE         1      6,786
TERRITORIAL BANCORP INC         COM    88145X108      167,582     8,751   SH         SOLE         1      8,751
TESCO CORP                      COM    88157K101      853,598    73,586   SH         SOLE         1     73,586
TESLA MOTORS INC                COM    88160R101       17,756       728   SH         SOLE         1        728
TESLA MTRS INC                  COM    88160R101       18,829       772   SH         DEFINED      3                            772
TESLA MTRS INC                  COM    88160R101        2,171        89   SH         DEFINED      2                             89
TESORO CORP                     COM    881609101      935,962    48,072   SH         SOLE         1     48,072
TESORO CORP                     COM    881609101        7,788       400   SH         DEFINED      4                            400
TESORO CORP                     COM    881609101       31,386     1,612   SH         DEFINED      3                          1,612
TESORO LOGISTICS LP             COM    88160T107        4,764       200   SH         DEFINED      3                            200
TESSCO TECHNOLOGIES INC         COM    872386107        7,974       600   SH         DEFINED      4                            600
TESSERA TECHNOLOGIES INC        COM    88164L100      500,131    41,887   SH         SOLE         1     41,887
TETRA TECH INC                  COM    88162G103      957,295    51,083   SH         SOLE         1     51,083
TETRA TECHNOLOGIES INC          COM    88162F105      486,074    62,963   SH         SOLE         1     62,963
TEUCRIUM COMMODITY TR           COM    88166A102       11,964       300   SH         DEFINED      3                            300
TEUCRIUM COMMODITY TR           COM    88166A102       12,961       325   SH         DEFINED      2                            325
TEVA PHARMACEUTICAL INDS LTD    COM    881624209      147,875     3,973   SH         DEFINED      4                          3,973
TEVA PHARMACEUTICAL INDS LTD    COM    881624209      750,221    20,156   SH         DEFINED      3                         20,156
TEVA PHARMACEUTICAL INDS LTD    COM    881624209       55,681     1,496   SH         DEFINED      2                          1,496
TEVA PHARMACEUTICAL SP ADR      COM    881624209    1,349,262    36,251   SH         SOLE         1     36,251
TEXAS CAPITAL BANCSHARES I      COM    88224Q107      696,925    30,500   SH         SOLE         1     30,500
TEXAS INDUSTRIES INC            COM    882491103      606,678    19,114   SH         SOLE         1     19,114
TEXAS INSTRS INC                COM    882508104       28,222     1,059   SH         DEFINED      4                          1,059
TEXAS INSTRS INC                COM    882508104       37,470     1,406   SH         DEFINED      3                          1,406
TEXAS INSTRS INC                COM    882508104        2,665       100   SH         DEFINED      2                            100
TEXAS INSTRUMENTS INC           COM    882508104    9,559,328   358,699   SH         SOLE         1    358,699
TEXAS ROADHOUSE INC             COM    882681109      679,693    51,414   SH         SOLE         1     51,414
TEXAS ROADHOUSE INC             COM    882681109       19,830     1,500   SH         DEFINED      3                          1,500
TEXAS ROADHOUSE INC             COM    882681109       15,652     1,184   SH         DEFINED      2                          1,184
TEXTAINER GROUP HOLDINGS L      COM    G8766E109      168,628     8,315   SH         SOLE         1      8,315
TEXTAINER GROUP HOLDINGS LTD    COM    G8766E109        2,028       100   SH         DEFINED      3                            100
TEXTRON INC                     COM    883203101    3,698,967   209,692   SH         SOLE         1    209,692
TEXTRON INC                     COM    883203101       56,601     3,209   SH         DEFINED      3                          3,209
TEXTRON INC                     COM    883203101       40,890     2,318   SH         DEFINED      2                          2,318
TFS FINANCIAL CORP              COM    87240R107       18,049     2,220   SH         SOLE         1      2,220
THERAGENICS CORP                COM    883375107        2,680     2,000   SH         DEFINED      3                          2,000
THERAVANCE INC                  COM    88338T104    1,014,351    50,365   SH         SOLE         1     50,365
THERMO FISHER SCIENTIFIC I      COM    883556102    7,644,513   150,958   SH         SOLE         1    150,958
THERMO FISHER SCIENTIFIC INC    COM    883556102        8,710       172   SH         DEFINED      4                            172
THERMO FISHER SCIENTIFIC INC    COM    883556102        5,824       115   SH         DEFINED      3                            115
THERMO FISHER SCIENTIFIC INC    COM    883556102        2,532        50   SH         DEFINED      2                             50
THERMON GROUP HOLDINGS INC      ADR    88362T103      100,941     7,304   SH         SOLE         1      7,304
THL CREDIT INC                  COM    872438106       73,852     6,763   SH         SOLE         1      6,763
THOMAS & BETTS CORP             COM    884315102       11,973       300   SH         DEFINED      4                            300
THOMAS + BETTS CORP             COM    884315102    4,597,113   115,187   SH         SOLE         1    115,187
THOMPSON CREEK METALS CO I      COM    884768102      677,169   111,560   SH         SOLE         1    111,560
THOMPSON CREEK METALS CO INC    COM    884768102        1,214       200   SH         DEFINED      4                            200
THOMSON REUTERS CORP            COM    884903105        7,030       260   SH         DEFINED      2                            260
THOR INDUSTRIES INC             COM    885160101    2,171,342    98,029   SH         SOLE         1     98,029
THORATEC CORP                   COM    885175307    4,252,404   130,282   SH         SOLE         1    130,282
THORATEC CORP                   COM    885175307        4,896       150   SH         DEFINED      3                            150
THQ INC                         COM    872443403       96,477    55,767   SH         SOLE         1     55,767
TIBCO SOFTWARE INC              COM    88632Q103    7,953,667   355,233   SH         SOLE         1    355,233
TIBCO SOFTWARE INC              COM    88632Q103       45,093     2,014   SH         DEFINED      3                          2,014
TIBCO SOFTWARE INC              COM    88632Q103        8,956       400   SH         DEFINED      2                            400
TICC CAPITAL CORP               COM    87244T109      192,493    23,561   SH         SOLE         1     23,561
TICC CAPITAL CORP               COM    87244T109       51,471     6,300   SH         DEFINED      4                          6,300
TICC CAPITAL CORP               COM    87244T109       12,337     1,510   SH         DEFINED      2                          1,510
TIDEWATER INC                   COM    886423102    4,797,905   114,100   SH         SOLE         1    114,100
TIDEWATER INC                   COM    886423102        6,308       150   SH         DEFINED      4                            150
TIDEWATER INC                   COM    886423102        1,009        24   SH         DEFINED      3                             24
TIFFANY & CO NEW                COM    886547108          973        16   SH         DEFINED      4                             16
TIFFANY & CO NEW                COM    886547108       14,110       232   SH         DEFINED      3                            232
TIFFANY + CO                    COM    886547108    3,092,454    50,846   SH         SOLE         1     50,846






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
TIM HORTONS INC                 COM    88706M103      249,958     5,401   SH         DEFINED      3                          5,401
TIM HORTONS INC                 COM    88706M103       63,728     1,377   SH         DEFINED      2                          1,377
TIM PARTICIPACOES S A           COM    88706P205          613        26   SH         DEFINED      3                             26
TIME WARNER CABLE               COM    88732J207    7,075,506   112,901   SH         SOLE         1    112,901
TIME WARNER CABLE INC           COM    88732J207        5,891        94   SH         DEFINED      4                             94
TIME WARNER CABLE INC           COM    88732J207      270,922     4,323   SH         DEFINED      3                          4,323
TIME WARNER CABLE INC           COM    88732J207       22,311       356   SH         DEFINED      2                            356
TIME WARNER INC                 COM    887317303   20,175,265   673,182   SH         SOLE         1    673,182
TIME WARNER INC                 COM    887317303       11,568       386   SH         DEFINED      4                            386
TIME WARNER INC                 COM    887317303       18,971       633   SH         DEFINED      3                            633
TIME WARNER INC                 COM    887317303       43,756     1,460   SH         DEFINED      2                          1,460
TIMKEN CO                       COM    887389104    6,048,989   184,308   SH         SOLE         1    184,308
TIMKEN CO                       COM    887389104      502,048    15,297   SH         DEFINED      3                         15,297
TITAN INTERNATIONAL INC         COM    88830M102    3,204,795   213,653   SH         SOLE         1    213,653
TITAN MACHINERY INC             COM    88830R101      201,447    11,254   SH         SOLE         1     11,254
TITAN MACHY INC                 COM    88830R101          143         8   SH         DEFINED      3                              8
TITANIUM METALS CORP            COM    888339207      404,355    26,993   SH         SOLE         1     26,993
TITANIUM METALS CORP            COM    888339207       14,980     1,000   SH         DEFINED      3                          1,000
TIVO INC                        COM    888706108      813,299    87,077   SH         SOLE         1     87,077
TJX COMPANIES INC               COM    872540109    6,334,840   114,203   SH         SOLE         1    114,203
TJX COS INC NEW                 COM    872540109       21,079       380   SH         DEFINED      4                            380
TJX COS INC NEW                 COM    872540109        1,941        35   SH         DEFINED      2                             35
TMS INTERNATIONAL CORP A        COM    87261Q103       68,461     9,404   SH         SOLE         1      9,404
TNS INC                         COM    872960109      349,661    18,599   SH         SOLE         1     18,599
TOLL BROTHERS INC               COM    889478103    4,667,557   323,462   SH         SOLE         1    323,462
TOLL BROTHERS INC               COM    889478103        1,530       106   SH         DEFINED      3                            106
TOMPKINS FINANCIAL CORP         COM    890110109      237,901     6,649   SH         SOLE         1      6,649
TOOTSIE ROLL INDS               COM    890516107    1,718,960    71,267   SH         SOLE         1     71,267
TOP SHIPS INC                   COM    Y8897Y123          507       350   SH         DEFINED      4                            350
TORCHMARK CORP                  COM    891027104    1,219,751    34,990   SH         SOLE         1     34,990
TORCHMARK CORP                  COM    891027104        4,972       143   SH         DEFINED      3                            143
TOREADOR RES CORP               COM    891050106          614       200   SH         DEFINED      3                            200
TORNIER NV                      COM    N87237108      157,732     7,698   SH         SOLE         1      7,698
TORO CO                         COM    891092108      154,560     3,137   SH         SOLE         1      3,137
TORO CO                         COM    891092108          443         9   SH         DEFINED      2                              9
TORONTO DOMINION BK ONT         COM    891160509       14,190       200   SH         DEFINED      4                            200
TORONTO DOMINION BK ONT         COM    891160509       16,248       229   SH         DEFINED      3                            229
TORTOISE ENERGY INFRSTRCTR C    COM    89147L100       77,691     2,290   SH         DEFINED      4                          2,290
TORTOISE ENERGY INFRSTRCTR C    COM    89147L100       20,358       600   SH         DEFINED      3                            600
TORTOISE PWR & ENERGY INFRAS    COM    89147X104        5,600       250   SH         DEFINED      4                            250
TOTAL S A                       COM    89151E109      118,449     2,700   SH         DEFINED      4                          2,700
TOTAL S A                       COM    89151E109      150,210     3,424   SH         DEFINED      3                          3,424
TOTAL S A                       COM    89151E109       43,870     1,000   SH         DEFINED      2                          1,000
TOTAL SYS SVCS INC              COM    891906109        4,182       247   SH         DEFINED      2                            247
TOTAL SYSTEM SERVICES INC       COM    891906109      921,500    54,430   SH         SOLE         1     54,430
TOWER BANCORP INC               COM    891709107      160,317     7,656   SH         SOLE         1      7,656
TOWER GROUP INC                 COM    891777104      699,287    30,590   SH         SOLE         1     30,590
TOWER INTERNATIONAL INC         COM    891826109       49,478     4,799   SH         SOLE         1      4,799
TOWERS WATSON + CO CL A         COM    891894107    6,911,345   115,613   SH         SOLE         1    115,613
TOWERSTREAM CORP                COM    892000100       79,150    30,918   SH         SOLE         1     30,918
TOWN SPORTS INTERNATIONAL       COM    89214A102      108,646    14,965   SH         SOLE         1     14,965
TOWNE BANK                      COM    89214P109      202,193    17,783   SH         SOLE         1     17,783
TOYOTA MOTOR CORP               COM    892331307       10,239       150   SH         DEFINED      4                            150
TOYOTA MOTOR CORP               COM    892331307       16,543       242   SH         DEFINED      3                            242
TOYOTA MOTOR CORP               COM    892331307       36,929       541   SH         DEFINED      2                            541
TPC GROUP INC                   COM    89236Y104      194,555     9,689   SH         SOLE         1      9,689
TRACTOR SUPPLY CO               COM    892356106      126,748     2,027   SH         DEFINED      3                          2,027
TRACTOR SUPPLY CO               COM    892356106       31,265       500   SH         DEFINED      2                            500
TRACTOR SUPPLY COMPANY          COM    892356106    9,751,920   155,906   SH         SOLE         1    155,906
TRANSACT TECHNOLOGIES INC       COM    892918103          130        16   SH         DEFINED      3                             16
TRANSALTA CORP                  COM    89346D107       32,655     1,500   SH         DEFINED      2                          1,500
TRANSATLANTIC HLDGS INC         COM    893521104        9,756       201   SH         DEFINED      3                            201
TRANSATLANTIC HOLDINGS INC      COM    893521104    6,664,659   137,359   SH         SOLE         1    137,359
TRANSATLANTIC PETROLEUM LTD     COM    G89982105       22,386    27,300   SH         DEFINED      2                         27,300
TRANSCANADA CORP                COM    89353D107       97,783     2,415   SH         DEFINED      3                          2,415
TRANSCEND SERVICES INC          COM    893929208      144,842     6,426   SH         SOLE         1      6,426
TRANSCEPT PHARMACEUTICALS       COM    89354M106       24,957     3,770   SH         SOLE         1      3,770
TRANSCONTINENTAL RLTY INVS      COM    893617209          358       148   SH         DEFINED      2                            148
TRANSDIGM GROUP INC             COM    893641100       63,294       775   SH         SOLE         1        775
TRANSMONTAIGNE PARTNERS L P     COM    89376V100       37,046     1,125   SH         DEFINED      4                          1,125
TRANSMONTAIGNE PARTNERS L P     COM    89376V100       16,465       500   SH         DEFINED      3                            500
TRANSOCEAN LTD                  COM    H8817H100      115,531     2,420   SH         DEFINED      4                          2,420
TRANSOCEAN LTD                  COM    H8817H100       88,510     1,854   SH         DEFINED      3                          1,854
TRANSOCEAN LTD                  COM    H8817H100       10,121       212   SH         DEFINED      2                            212
TRAVELCENTERS OF AMERICA LLC    COM    894174101          141        40   SH         DEFINED      3                             40
TRAVELCENTERS OF AMERICA LLC    COM    894174101          237        67   SH         DEFINED      2                             67
TRAVELERS COMPANIES INC         COM    89417E109      438,814     9,005   SH         DEFINED      4                          9,005
TRAVELERS COMPANIES INC         COM    89417E109       20,102       413   SH         DEFINED      3                            413
TRAVELERS COMPANIES INC         COM    89417E109       44,272       909   SH         DEFINED      2                            909
TRAVELERS COS INC/THE           COM    89417E109   11,020,241   226,149   SH         SOLE         1    226,149
TRAVELZOO INC                   COM    89421Q106       88,840     4,040   SH         SOLE         1      4,040






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
TRC COS INC                     COM    872625108       38,967    12,946   SH         SOLE         1     12,946
TREDEGAR CORP                   COM    894650100      289,378    19,513   SH         SOLE         1     19,513
TREE COM INC                    COM    894675107           10         2   SH         DEFINED      4                              2
TREEHOUSE FOODS INC             COM    89469A104    1,800,595    29,117   SH         SOLE         1     29,117
TREEHOUSE FOODS INC             COM    89469A104        2,103        34   SH         DEFINED      2                             34
TREX COMPANY INC                COM    89531P105      182,229    11,368   SH         SOLE         1     11,368
TRI CONTL CORP                  COM    895436103       58,766     4,620   SH         DEFINED      3                          4,620
TRIANGLE CAP CORP               COM    895848109      260,719    17,130   SH         DEFINED      4                         17,130
TRIANGLE CAP CORP               COM    895848109        3,044       200   SH         DEFINED      3                            200
TRIANGLE CAP CORP               COM    895848109        3,196       210   SH         DEFINED      2                            210
TRIANGLE CAPITAL CORP           COM    895848109      245,940    16,159   SH         SOLE         1     16,159
TRIANGLE PETROLEUM CORP         COM    89600B201    2,651,807   738,665   SH         SOLE         1    738,665
TRICO BANCSHARES                COM    896095106      125,964    10,266   SH         SOLE         1     10,266
TRIMAS CORP                     COM    896215209      277,175    18,665   SH         SOLE         1     18,665
TRIMBLE NAVIGATION LTD          COM    896239100    8,994,654   268,097   SH         SOLE         1    268,097
TRINA SOLAR LIMITED             COM    89628E104        4,973       818   SH         DEFINED      4                            818
TRINITY INDS INC                COM    896522109        5,031       235   SH         DEFINED      3                            235
TRINITY INDS INC                COM    896522109       42,315     1,976   SH         DEFINED      2                          1,976
TRINITY INDUSTRIES INC          COM    896522109    3,768,588   176,020   SH         SOLE         1    176,020
TRIPLE S MANAGEMENT CORP B      COM    896749108      241,786    14,435   SH         SOLE         1     14,435
TRIQUINT SEMICONDUCTOR INC      COM    89674K103      675,567   134,575   SH         SOLE         1    134,575
TRIQUINT SEMICONDUCTOR INC      COM    89674K103       42,168     8,400   SH         DEFINED      4                          8,400
TRIQUINT SEMICONDUCTOR INC      COM    89674K103          146        29   SH         DEFINED      3                             29
TRIQUINT SEMICONDUCTOR INC      COM    89674K103        1,762       351   SH         DEFINED      2                            351
TRIUMPH GROUP INC               COM    896818101    5,379,434   110,370   SH         SOLE         1    110,370
TRIUMPH GROUP INC NEW           COM    896818101          585        12   SH         DEFINED      3                             12
TRIUS THERAPEUTICS INC          COM    89685K100       29,295     4,650   SH         SOLE         1      4,650
TRUE RELIGION APPAREL INC       COM    89784N104      569,233    21,114   SH         SOLE         1     21,114
TRUE RELIGION APPAREL INC       COM    89784N104        2,696       100   SH         DEFINED      3                            100
TRUEBLUE INC                    COM    89785X101    3,504,924   309,349   SH         SOLE         1    309,349
TRUEBLUE INC                    COM    89785X101          249        22   SH         DEFINED      3                             22
TRUSTCO BANK CORP NY            COM    898349105      339,870    76,204   SH         SOLE         1     76,204
TRUSTMARK CORP                  COM    898402102    3,371,145   185,738   SH         SOLE         1    185,738
TRUSTMARK CORP                  COM    898402102      555,953    30,631   SH         DEFINED      4                         30,631
TRUSTMARK CORP                  COM    898402102        8,730       481   SH         DEFINED      2                            481
TRW AUTOMOTIVE HLDGS CORP       COM    87264S106      406,703    12,426   SH         DEFINED      3                         12,426
TRW AUTOMOTIVE HOLDINGS CO      COM    87264S106      102,936     3,145   SH         SOLE         1      3,145
TTM TECHNOLOGIES                COM    87305R109      404,204    42,503   SH         SOLE         1     42,503
TUESDAY MORNING CORP            COM    899035505      124,312    35,316   SH         SOLE         1     35,316
TUESDAY MORNING CORP            COM    899035505          528       150   SH         DEFINED      3                            150
TUPPERWARE BRANDS CORP          COM    899896104    7,114,692   132,391   SH         SOLE         1    132,391
TURKCELL ILETISIM HIZMETLERI    COM    900111204        2,256       200   SH         DEFINED      3                            200
TUTOR PERINI CORP               COM    901109108      261,788    22,784   SH         SOLE         1     22,784
TW TELECOM INC                  COM    87311L104    5,436,550   329,089   SH         SOLE         1    329,089
TWIN DISC INC                   COM    901476101      164,794     6,179   SH         SOLE         1      6,179
TWO HARBORS INVESTMENT COR      COM    90187B101      906,638   102,677   SH         SOLE         1    102,677
TWO HBRS INVT CORP              COM    90187B101      429,986    48,696   SH         DEFINED      4                         48,696
TWO HBRS INVT CORP              COM    90187B101       81,881     9,273   SH         DEFINED      3                          9,273
TWO HBRS INVT CORP              COM    90187B101        1,766       200   SH         DEFINED      2                            200
TYCO INTERNATIONAL LTD          COM    H89128104    5,700,110   139,880   SH         SOLE         1    139,880
TYCO INTERNATIONAL LTD          COM    H89128104        2,812        69   SH         DEFINED      4                             69
TYCO INTERNATIONAL LTD          COM    H89128104       20,905       513   SH         DEFINED      3                            513
TYCO INTERNATIONAL LTD          COM    H89128104        8,476       208   SH         DEFINED      2                            208
TYLER TECHNOLOGIES INC          COM    902252105      650,075    25,715   SH         SOLE         1     25,715
TYSON FOODS INC CL A            COM    902494103    1,715,428    98,815   SH         SOLE         1     98,815
U S ENERGY CORP   WYOMING       COM    911805109       41,157    17,817   SH         SOLE         1     17,817
U S G CORP                      COM    903293405       11,939     1,774   SH         DEFINED      4                          1,774
U S G CORP                      COM    903293405        1,561       232   SH         DEFINED      3                            232
U S G CORP                      COM    903293405       44,613     6,629   SH         DEFINED      2                          6,629
U S GOLD CORP                   COM    912023207    9,063,033 2,260,108   SH         SOLE         1  2,260,108
U.S. GLOBAL INVESTORS INC       COM    902952100    3,091,511   455,975   SH         SOLE         1    455,975
U.S. PHYSICAL THERAPY INC       COM    90337L108      159,642     8,620   SH         SOLE         1      8,620
UBS AG                          COM    H89231338          240        21   SH         DEFINED      4                             21
UBS AG JERSEY BRANCH            COM    902664200       15,650       500   SH         DEFINED      3                            500
UBS AG JERSEY BRH               COM    902641737       13,460       500   SH         DEFINED      4                            500
UBS AG JERSEY BRH               COM    902641646       30,837     1,070   SH         DEFINED      3                          1,070
UBS AG JERSEY BRH               COM    902641786        4,622       262   SH         DEFINED      2                            262
UDR INC                         COM    902653104   10,652,705   481,152   SH         SOLE         1    481,152
UDR INC                         COM    902653104          731        33   SH         DEFINED      2                             33
UGI CORP                        COM    902681105    6,457,061   245,796   SH         SOLE         1    245,796
UGI CORP NEW                    COM    902681105        3,809       145   SH         DEFINED      4                            145
UGI CORP NEW                    COM    902681105       21,016       800   SH         DEFINED      2                            800
UIL HLDG CORP                   COM    902748102        3,293       100   SH         DEFINED      4                            100
UIL HLDG CORP                   COM    902748102        5,466       166   SH         DEFINED      3                            166
UIL HLDG CORP                   COM    902748102        9,879       300   SH         DEFINED      2                            300
UIL HOLDINGS CORP               COM    902748102    1,363,071    41,393   SH         SOLE         1     41,393
ULTA SALON COSMETCS & FRAG I    COM    90384S303       18,669       300   SH         DEFINED      3                            300
ULTA SALON COSMETCS & FRAG I    COM    90384S303        1,431        23   SH         DEFINED      2                             23
ULTA SALON COSMETICS + FRA      COM    90384S303       39,205       630   SH         SOLE         1        630
ULTIMATE SOFTWARE GROUP IN      COM    90385D107      881,700    18,872   SH         SOLE         1     18,872
ULTRA CLEAN HOLDINGS            COM    90385V107       71,291    16,618   SH         SOLE         1     16,618






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
ULTRA PETROLEUM CORP            COM    903914109       65,419     2,360   SH         SOLE         1      2,360
ULTRA PETROLEUM CORP            COM    903914109        2,772       100   SH         DEFINED      4                            100
ULTRA PETROLEUM CORP            COM    903914109      209,840     7,570   SH         DEFINED      3                          7,570
ULTRA PETROLEUM CORP            COM    903914109       30,492     1,100   SH         DEFINED      2                          1,100
ULTRAPETROL (BAHAMAS) LTD       COM    P94398107       35,398    15,594   SH         SOLE         1     15,594
ULTRATECH INC                   COM    904034105      354,079    20,646   SH         SOLE         1     20,646
UMB FINANCIAL CORP              COM    902788108      842,228    26,254   SH         SOLE         1     26,254
UMH PROPERTIES INC              COM    903002103       76,447     8,410   SH         SOLE         1      8,410
UMPQUA HLDGS CORP               COM    904214103       35,160     4,000   SH         DEFINED      3                          4,000
UMPQUA HOLDINGS CORP            COM    904214103      825,434    93,906   SH         SOLE         1     93,906
UNDER ARMOUR INC                COM    904311107       66,476     1,001   SH         DEFINED      3                          1,001
UNDER ARMOUR INC                COM    904311107        3,321        50   SH         DEFINED      2                             50
UNDER ARMOUR INC CLASS A        COM    904311107    5,299,850    79,805   SH         SOLE         1     79,805
UNIFI INC                       COM    904677200       83,122    10,174   SH         SOLE         1     10,174
UNIFIRST CORP/MA                COM    904708104      530,029    11,703   SH         SOLE         1     11,703
UNILEVER N V                    COM    904784709       40,433     1,284   SH         DEFINED      4                          1,284
UNILEVER N V                    COM    904784709       57,217     1,817   SH         DEFINED      3                          1,817
UNILEVER N V                    COM    904784709       54,364     1,726   SH         DEFINED      2                          1,726
UNILEVER PLC                    COM    904767704        4,679       150   SH         DEFINED      4                            150
UNILEVER PLC                    COM    904767704      392,308    12,578   SH         DEFINED      3                         12,578
UNILEVER PLC                    COM    904767704       33,104     1,061   SH         DEFINED      2                          1,061
UNILIFE CORP                    COM    90478E103      174,325    41,506   SH         SOLE         1     41,506
UNION DRILLING INC              COM    90653P105       51,977    11,059   SH         SOLE         1     11,059
UNION FIRST MARKET BANKSHA      COM    90662P104      158,581    14,793   SH         SOLE         1     14,793
UNION FIRST MKT BANKSH CP       COM    90662P104        1,394       130   SH         DEFINED      2                            130
UNION PAC CORP                  COM    907818108      249,805     3,059   SH         DEFINED      4                          3,059
UNION PAC CORP                  COM    907818108       80,137       981   SH         DEFINED      3                            981
UNION PAC CORP                  COM    907818108      252,330     3,090   SH         DEFINED      2                          3,090
UNION PACIFIC CORP              COM    907818108   17,397,915   213,027   SH         SOLE         1    213,027
UNISOURCE ENERGY CORP           COM    909205106       37,640     1,043   SH         DEFINED      3                          1,043
UNISOURCE ENERGY CORP           COM    909205106        8,734       242   SH         DEFINED      2                            242
UNISOURCE ENERGY CORP CO        COM    909205106    1,085,695    30,083   SH         SOLE         1     30,083
UNISYS CORP                     COM    909214306      493,152    31,431   SH         SOLE         1     31,431
UNISYS CORP                     COM    909214306        1,883       120   SH         DEFINED      2                            120
UNIT CORP                       COM    909218109    3,358,391    90,964   SH         SOLE         1     90,964
UNITED BANKSHARES INC           COM    909907107      817,121    40,673   SH         SOLE         1     40,673
UNITED BANKSHARES INC WEST V    COM    909907107        6,027       300   SH         DEFINED      3                            300
UNITED CMNTY FINL CORP OHIO     COM    909839102       19,167    14,198   SH         DEFINED      3                         14,198
UNITED COMMUNITY BANKS/GA       COM    90984P303      272,071    32,046   SH         SOLE         1     32,046
UNITED CONTINENTAL HOLDING      COM    910047109      110,854     5,720   SH         SOLE         1      5,720
UNITED CONTL HLDGS INC          COM    910047109        7,752       400   SH         DEFINED      3                            400
UNITED FINANCIAL BANCORP I      COM    91030T109      161,022    11,762   SH         SOLE         1     11,762
UNITED FIRE + CASUALTY CO       COM    910331107      311,149    17,589   SH         SOLE         1     17,589
UNITED NATURAL FOODS INC        COM    911163103    1,468,006    39,633   SH         SOLE         1     39,633
UNITED ONLINE INC               COM    911268100      379,787    72,617   SH         SOLE         1     72,617
UNITED ONLINE INC               COM    911268100      418,709    80,059   SH         DEFINED      4                         80,059
UNITED ONLINE INC               COM    911268100        1,700       325   SH         DEFINED      3                            325
UNITED PARCEL SERVICE CL B      COM    911312106   23,940,544   379,106   SH         SOLE         1    379,106
UNITED PARCEL SERVICE INC       COM    911312106    1,146,362    18,153   SH         DEFINED      4                         18,153
UNITED PARCEL SERVICE INC       COM    911312106    2,753,656    43,605   SH         DEFINED      3                         43,605
UNITED PARCEL SERVICE INC       COM    911312106      115,675     1,832   SH         DEFINED      2                          1,832
UNITED RENTALS INC              COM    911363109    3,055,635   181,451   SH         SOLE         1    181,451
UNITED RENTALS INC              COM    911363109       20,208     1,200   SH         DEFINED      4                          1,200
UNITED RENTALS INC              COM    911363109        4,631       275   SH         DEFINED      2                            275
UNITED STATES LIME + MINER      COM    911922102       75,730     1,898   SH         SOLE         1      1,898
UNITED STATES NATL GAS FUND     COM    912318110       12,922     1,435   SH         DEFINED      4                          1,435
UNITED STATES NATL GAS FUND     COM    912318110       28,465     3,161   SH         DEFINED      3                          3,161
UNITED STATES NATL GAS FUND     COM    912318110       75,552     8,390   SH         DEFINED      2                          8,390
UNITED STATES OIL FUND LP       COM    91232N108       15,245       500   SH         DEFINED      4                            500
UNITED STATES OIL FUND LP       COM    91232N108       46,741     1,533   SH         DEFINED      3                          1,533
UNITED STATES OIL FUND LP       COM    91232N108       24,453       802   SH         DEFINED      2                            802
UNITED STATES STEEL CORP        COM    912909108    1,628,454    73,987   SH         SOLE         1     73,987
UNITED STATES STL CORP NEW      COM    912909108        2,201       100   SH         DEFINED      4                            100
UNITED STATES STL CORP NEW      COM    912909108      130,101     5,911   SH         DEFINED      3                          5,911
UNITED STATES STL CORP NEW      COM    912909108       14,527       660   SH         DEFINED      2                            660
UNITED STATIONERS INC           COM    913004107    1,023,156    37,547   SH         SOLE         1     37,547
UNITED STS 12 MONTH OIL FD L    COM    91288V103        3,513       100   SH         DEFINED      2                            100
UNITED STS BRENT OIL FD LP      COM    91167Q100       32,805       485   SH         DEFINED      4                            485
UNITED STS COMMODITY INDEX F    COM    911717106       40,589       698   SH         DEFINED      3                            698
UNITED STS GASOLINE FD LP       COM    91201T102       29,172       635   SH         DEFINED      4                            635
UNITED STS GASOLINE FD LP       COM    91201T102      352,727     7,678   SH         DEFINED      2                          7,678
UNITED STS HEATING OIL FD LP    COM    91204P107        7,877       250   SH         DEFINED      4                            250
UNITED TECHNOLOGIES CORP        COM    913017109   43,318,682   615,672   SH         SOLE         1    615,672
UNITED TECHNOLOGIES CORP        COM    913017109      192,257     2,732   SH         DEFINED      4                          2,732
UNITED TECHNOLOGIES CORP        COM    913017109      849,895    12,079   SH         DEFINED      3                         12,079
UNITED TECHNOLOGIES CORP        COM    913017109      554,133     7,876   SH         DEFINED      2                          7,876
UNITED THERAPEUTICS CORP        COM    91307C102    4,244,580   113,219   SH         SOLE         1    113,219
UNITED THERAPEUTICS CORP DEL    COM    91307C102      207,132     5,525   SH         DEFINED      3                          5,525
UNITEDHEALTH GROUP INC          COM    91324P102   30,833,941   668,559   SH         SOLE         1    668,559
UNITEDHEALTH GROUP INC          COM    91324P102       64,245     1,393   SH         DEFINED      4                          1,393
UNITEDHEALTH GROUP INC          COM    91324P102      153,373     3,326   SH         DEFINED      3                          3,326






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
UNITEDHEALTH GROUP INC          COM    91324P102      416,371     9,028   SH         DEFINED      2                          9,028
UNITEK GLOBAL SERVICES INC      COM    91324T302       39,779     8,020   SH         SOLE         1      8,020
UNITIL CORP                     COM    913259107      204,926     7,980   SH         SOLE         1      7,980
UNIVERSAL AMERICAN CORP         COM    91338E101      237,195    23,578   SH         SOLE         1     23,578
UNIVERSAL CORP VA               COM    913456109       71,720     2,000   SH         DEFINED      4                          2,000
UNIVERSAL CORP/VA               COM    913456109    2,410,366    67,216   SH         SOLE         1     67,216
UNIVERSAL DISPLAY CORP          COM    91347P105    1,346,874    28,095   SH         SOLE         1     28,095
UNIVERSAL DISPLAY CORP          COM    91347P105          479        10   SH         DEFINED      4                             10
UNIVERSAL DISPLAY CORP          COM    91347P105       34,996       730   SH         DEFINED      2                            730
UNIVERSAL ELECTRONICS INC       COM    913483103      201,581    12,299   SH         SOLE         1     12,299
UNIVERSAL FOREST PRODUCTS       COM    913543104      384,680    15,995   SH         SOLE         1     15,995
UNIVERSAL HEALTH RLTY INCM T    COM    91359E105       45,706     1,360   SH         DEFINED      4                          1,360
UNIVERSAL HEALTH RLTY INCM T    COM    91359E105       24,468       728   SH         DEFINED      3                            728
UNIVERSAL HEALTH RLTY INCO      COM    91359E105      329,109     9,792   SH         SOLE         1      9,792
UNIVERSAL HEALTH SERVICES       COM    913903100   14,227,470   418,455   SH         SOLE         1    418,455
UNIVERSAL HLTH SVCS INC         COM    913903100       27,200       800   SH         DEFINED      3                            800
UNIVERSAL INSURANCE HOLDIN      COM    91359V107       52,718    13,693   SH         SOLE         1     13,693
UNIVERSAL STAINLESS + ALLO      COM    913837100      131,904     5,189   SH         SOLE         1      5,189
UNIVERSAL TECHNICAL INSTIT      COM    913915104      237,648    17,487   SH         SOLE         1     17,487
UNIVERSAL TRAVEL GROUP          COM    91388Q202            0     1,000   SH         DEFINED      2                          1,000
UNIVERSAL TRUCKLOAD SERVIC      COM    91388P105       52,065     4,005   SH         SOLE         1      4,005
UNIVEST CORP OF PENNSYLVAN      COM    915271100      163,293    12,250   SH         SOLE         1     12,250
UNUM GROUP                      COM    91529Y106    2,115,556   100,933   SH         SOLE         1    100,933
UNUM GROUP                      COM    91529Y106        4,003       191   SH         DEFINED      3                            191
UR ENERGY INC                   COM    91688R108       68,028    75,587   SH         SOLE         1     75,587
UR ENERGY INC                   COM    91688R108        2,700     3,000   SH         DEFINED      2                          3,000
URANERZ ENERGY CORP             COM    91688T104       64,601    47,154   SH         SOLE         1     47,154
URANERZ ENERGY CORP             COM    91688T104        3,237     2,363   SH         DEFINED      3                          2,363
URANIUM ENERGY CORP             COM    916896103      142,694    52,078   SH         SOLE         1     52,078
URANIUM RES INC                 COM    916901507        4,771     7,000   SH         DEFINED      3                          7,000
URANIUM RES INC                 COM    916901507        3,067     4,500   SH         DEFINED      2                          4,500
URANIUM RESOURCES INC           COM    916901507       46,488    68,214   SH         SOLE         1     68,214
URBAN OUTFITTERS INC            COM    917047102    1,012,391    45,358   SH         SOLE         1     45,358
URBAN OUTFITTERS INC            COM    917047102        6,693       300   SH         DEFINED      4                            300
URBAN OUTFITTERS INC            COM    917047102        6,693       300   SH         DEFINED      3                            300
URBAN OUTFITTERS INC            COM    917047102          379        17   SH         DEFINED      2                             17
UROPLASTY INC                   COM    917277204       73,201    15,093   SH         SOLE         1     15,093
URS CORP                        COM    903236107    5,692,169   191,914   SH         SOLE         1    191,914
URS CORP NEW                    COM    903236107        3,856       130   SH         DEFINED      4                            130
URS CORP NEW                    COM    903236107       17,618       594   SH         DEFINED      3                            594
URSTADT BIDDLE   CLASS A        COM    917286205      301,434    18,875   SH         SOLE         1     18,875
US AIRWAYS GROUP INC            COM    90341W108      650,766   118,321   SH         SOLE         1    118,321
US AUTO PARTS NETWORK INC       COM    90343C100       54,741    10,797   SH         SOLE         1     10,797
US BANCORP                      COM    902973304   19,509,340   828,774   SH         SOLE         1    828,774
US BANCORP DEL                  COM    902973304      108,213     4,597   SH         DEFINED      4                          4,597
US BANCORP DEL                  COM    902973304       78,318     3,327   SH         DEFINED      3                          3,327
US BANCORP DEL                  COM    902973304      146,412     6,220   SH         DEFINED      2                          6,220
US CELLULAR CORP                COM    911684108       15,979       403   SH         SOLE         1        403
US ECOLOGY INC                  COM    91732J102      206,896    13,374   SH         SOLE         1     13,374
US ECOLOGY INC                  COM    91732J102      103,463     6,688   SH         DEFINED      4                          6,688
US GOLD CORPORATION             COM    912023207          201        50   SH         DEFINED      4                             50
US GOLD CORPORATION             COM    912023207       28,070     7,000   SH         DEFINED      3                          7,000
US GOLD CORPORATION             COM    912023207        4,010     1,000   SH         DEFINED      2                          1,000
USA MOBILITY INC                COM    90341G103      238,986    18,105   SH         SOLE         1     18,105
USANA HEALTH SCIENCES INC       COM    90328M107      136,648     4,969   SH         SOLE         1      4,969
USEC INC                        COM    90333E108      136,475    84,767   SH         SOLE         1     84,767
USEC INC                        COM    90333E108       60,198    37,390   SH         DEFINED      3                         37,390
USEC INC                        COM    90333E108        1,771     1,100   SH         DEFINED      2                          1,100
USG CORP                        COM    903293405      351,017    52,157   SH         SOLE         1     52,157
UTI WORLDWIDE INC               COM    G87210103    2,923,829   224,220   SH         SOLE         1    224,220
UTI WORLDWIDE INC               COM    G87210103          209        16   SH         DEFINED      3                             16
UTSTARCOM HOLDINGS CORP         COM    G9310A106       10,200    10,000   SH         DEFINED      4                         10,000
UTSTARCOM HOLDINGS CORP         COM    G9310A106          110       108   SH         DEFINED      3                            108
V F CORP                        COM    918204108       51,646       425   SH         DEFINED      4                            425
V F CORP                        COM    918204108       77,530       638   SH         DEFINED      3                            638
V F CORP                        COM    918204108       58,937       485   SH         DEFINED      2                            485
VAALCO ENERGY INC               COM    91851C201      181,545    37,355   SH         SOLE         1     37,355
VAIL RESORTS INC                COM    91879Q109      993,839    26,299   SH         SOLE         1     26,299
VALASSIS COMMUNICATIONS IN      COM    918866104    2,585,876   137,987   SH         SOLE         1    137,987
VALASSIS COMMUNICATIONS INC     COM    918866104        3,748       200   SH         DEFINED      3                            200
VALE S A                        COM    91912E105       11,400       500   SH         DEFINED      4                            500
VALE S A                        COM    91912E105        7,091       311   SH         DEFINED      3                            311
VALE S A                        COM    91912E204        6,783       323   SH         DEFINED      3                            323
VALE S A                        COM    91912E105      100,709     4,417   SH         DEFINED      2                          4,417
VALEANT PHARMACEUTICALS INTL    COM    91911K102           37         1   SH         DEFINED      3                              1
VALEANT PHARMACEUTICALS INTL    COM    91911K102       16,110       434   SH         DEFINED      2                            434
VALENCE TECHNOLOGY INC          COM    918914102       54,858    52,748   SH         SOLE         1     52,748
VALERO ENERGY CORP              COM    91913Y100    3,382,236   190,227   SH         SOLE         1    190,227
VALERO ENERGY CORP NEW          COM    91913Y100        8,001       450   SH         DEFINED      4                            450
VALERO ENERGY CORP NEW          COM    91913Y100       63,621     3,578   SH         DEFINED      3                          3,578
VALERO ENERGY CORP NEW          COM    91913Y100        6,010       338   SH         DEFINED      2                            338






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
VALIDUS HOLDINGS LTD            COM    G9319H102       49,865     2,001   SH         SOLE         1      2,001
VALLEY NATIONAL BANCORP         COM    919794107    3,952,400   373,220   SH         SOLE         1    373,220
VALLEY NATL BANCORP             COM    919794107      114,683    10,829   SH         DEFINED      4                         10,829
VALMONT INDUSTRIES              COM    920253101    3,819,995    49,012   SH         SOLE         1     49,012
VALSPAR CORP                    COM    920355104    6,412,063   205,449   SH         SOLE         1    205,449
VALSPAR CORP                    COM    920355104        2,091        67   SH         DEFINED      2                             67
VALUE LINE INC                  COM    920437100       11,295       983   SH         SOLE         1        983
VALUECLICK INC                  COM    92046N102    3,688,778   237,068   SH         SOLE         1    237,068
VALUEVISION MEDIA INC A         COM    92047K107       70,531    29,886   SH         SOLE         1     29,886
VANDA PHARMACEUTICALS INC       COM    921659108      101,604    20,526   SH         SOLE         1     20,526
VANGUARD ADMIRAL FDS INC        COM    921932885        3,803        72   SH         DEFINED      4                             72
VANGUARD ADMIRAL FDS INC        COM    921932885        7,923       150   SH         DEFINED      2                            150
VANGUARD BD INDEX FD INC        COM    921937827        7,568        93   SH         DEFINED      4                             93
VANGUARD BD INDEX FD INC        COM    921937835      457,115     5,459   SH         DEFINED      4                          5,459
VANGUARD BD INDEX FD INC        COM    921937793      500,514     5,454   SH         DEFINED      3                          5,454
VANGUARD BD INDEX FD INC        COM    921937819      508,790     5,806   SH         DEFINED      3                          5,806
VANGUARD BD INDEX FD INC        COM    921937827    1,172,053    14,395   SH         DEFINED      3                         14,395
VANGUARD BD INDEX FD INC        COM    921937835    1,089,692    13,013   SH         DEFINED      3                         13,013
VANGUARD BD INDEX FD INC        COM    921937793      129,487     1,411   SH         DEFINED      2                          1,411
VANGUARD BD INDEX FD INC        COM    921937819      210,312     2,400   SH         DEFINED      2                          2,400
VANGUARD BD INDEX FD INC        COM    921937827      236,769     2,908   SH         DEFINED      2                          2,908
VANGUARD BD INDEX FD INC        COM    921937835    3,238,226    38,670   SH         DEFINED      2                         38,670
VANGUARD INDEX FDS              COM    922908413       11,025       213   SH         DEFINED      4                            213
VANGUARD INDEX FDS              COM    922908512      234,923     5,063   SH         DEFINED      4                          5,063
VANGUARD INDEX FDS              COM    922908538       50,274       925   SH         DEFINED      4                            925
VANGUARD INDEX FDS              COM    922908553       68,780     1,352   SH         DEFINED      4                          1,352
VANGUARD INDEX FDS              COM    922908595       12,035       180   SH         DEFINED      4                            180
VANGUARD INDEX FDS              COM    922908611       31,236       562   SH         DEFINED      4                            562
VANGUARD INDEX FDS              COM    922908629       56,897       874   SH         DEFINED      4                            874
VANGUARD INDEX FDS              COM    922908652      139,130     3,018   SH         DEFINED      4                          3,018
VANGUARD INDEX FDS              COM    922908736      146,115     2,612   SH         DEFINED      4                          2,612
VANGUARD INDEX FDS              COM    922908744      604,875    12,856   SH         DEFINED      4                         12,856
VANGUARD INDEX FDS              COM    922908751      254,133     4,141   SH         DEFINED      4                          4,141
VANGUARD INDEX FDS              COM    922908769      226,378     3,922   SH         DEFINED      4                          3,922
VANGUARD INDEX FDS              COM    922908413      362,579     7,005   SH         DEFINED      3                          7,005
VANGUARD INDEX FDS              COM    922908512        4,146        89   SH         DEFINED      3                             89
VANGUARD INDEX FDS              COM    922908538        3,102        57   SH         DEFINED      3                             57
VANGUARD INDEX FDS              COM    922908553      845,297    16,617   SH         DEFINED      3                         16,617
VANGUARD INDEX FDS              COM    922908595       31,759       475   SH         DEFINED      3                            475
VANGUARD INDEX FDS              COM    922908611      240,227     4,322   SH         DEFINED      3                          4,322
VANGUARD INDEX FDS              COM    922908629      269,212     4,135   SH         DEFINED      3                          4,135
VANGUARD INDEX FDS              COM    922908637        2,014        39   SH         DEFINED      3                             39
VANGUARD INDEX FDS              COM    922908652       18,210       395   SH         DEFINED      3                            395
VANGUARD INDEX FDS              COM    922908736      616,962    11,029   SH         DEFINED      3                         11,029
VANGUARD INDEX FDS              COM    922908744      197,092     4,189   SH         DEFINED      3                          4,189
VANGUARD INDEX FDS              COM    922908751      533,507     8,693   SH         DEFINED      3                          8,693
VANGUARD INDEX FDS              COM    922908769      710,475    12,309   SH         DEFINED      3                         12,309
VANGUARD INDEX FDS              COM    922908512       40,773       879   SH         DEFINED      2                            879
VANGUARD INDEX FDS              COM    922908538       44,202       813   SH         DEFINED      2                            813
VANGUARD INDEX FDS              COM    922908553      157,392     3,094   SH         DEFINED      2                          3,094
VANGUARD INDEX FDS              COM    922908595      167,573     2,506   SH         DEFINED      2                          2,506
VANGUARD INDEX FDS              COM    922908611       37,700       678   SH         DEFINED      2                            678
VANGUARD INDEX FDS              COM    922908629       47,328       727   SH         DEFINED      2                            727
VANGUARD INDEX FDS              COM    922908637      349,154     6,760   SH         DEFINED      2                          6,760
VANGUARD INDEX FDS              COM    922908652       14,291       310   SH         DEFINED      2                            310
VANGUARD INDEX FDS              COM    922908736      149,793     2,678   SH         DEFINED      2                          2,678
VANGUARD INDEX FDS              COM    922908744      162,181     3,447   SH         DEFINED      2                          3,447
VANGUARD INDEX FDS              COM    922908751    2,331,080    37,984   SH         DEFINED      2                         37,984
VANGUARD INDEX FDS              COM    922908769    2,134,947    36,988   SH         DEFINED      2                         36,988
VANGUARD INTL EQUITY INDEX F    COM    922042775      136,294     3,520   SH         DEFINED      4                          3,520
VANGUARD INTL EQUITY INDEX F    COM    922042858      148,695     4,150   SH         DEFINED      4                          4,150
VANGUARD INTL EQUITY INDEX F    COM    922042775      558,165    14,415   SH         DEFINED      3                         14,415
VANGUARD INTL EQUITY INDEX F    COM    922042858      824,076    23,000   SH         DEFINED      3                         23,000
VANGUARD INTL EQUITY INDEX F    COM    922042866      260,085     5,367   SH         DEFINED      3                          5,367
VANGUARD INTL EQUITY INDEX F    COM    922042874      242,484     5,964   SH         DEFINED      3                          5,964
VANGUARD INTL EQUITY INDEX F    COM    922042718       38,597       492   SH         DEFINED      3                            492
VANGUARD INTL EQUITY INDEX F    COM    922042742       40,650     1,000   SH         DEFINED      3                          1,000
VANGUARD INTL EQUITY INDEX F    COM    922042775      271,660     7,016   SH         DEFINED      2                          7,016
VANGUARD INTL EQUITY INDEX F    COM    922042858      251,177     7,010   SH         DEFINED      2                          7,010
VANGUARD INTL EQUITY INDEX F    COM    922042866       66,584     1,374   SH         DEFINED      2                          1,374
VANGUARD INTL EQUITY INDEX F    COM    922042874       31,349       771   SH         DEFINED      2                            771
VANGUARD INTL EQUITY INDEX F    COM    922042718          235         3   SH         DEFINED      2                              3
VANGUARD INTL EQUITY INDEX F    COM    922042742       75,975     1,869   SH         DEFINED      2                          1,869
VANGUARD NATURAL RESOURCES L    COM    92205F106       72,637     2,784   SH         DEFINED      4                          2,784
VANGUARD NATURAL RESOURCES L    COM    92205F106       31,308     1,200   SH         DEFINED      3                          1,200
VANGUARD SCOTTSDALE FDS         COM    92206C409      175,906     2,266   SH         DEFINED      4                          2,266
VANGUARD SCOTTSDALE FDS         COM    92206C409      332,703     4,286   SH         DEFINED      3                          4,286
VANGUARD SCOTTSDALE FDS         COM    92206C409       56,507       728   SH         DEFINED      2                            728
VANGUARD SCOTTSDALE FDS         COM    92206C870       78,045       964   SH         DEFINED      2                            964
VANGUARD SPECIALIZED PORTFOL    COM    921908844    1,159,181    23,773   SH         DEFINED      4                         23,773
VANGUARD SPECIALIZED PORTFOL    COM    921908844    2,150,950    44,113   SH         DEFINED      3                         44,113






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
VANGUARD SPECIALIZED PORTFOL    COM    921908844      253,357     5,196   SH         DEFINED      2                          5,196
VANGUARD STAR FD                COM    921909768      146,285     3,629   SH         DEFINED      2                          3,629
VANGUARD TAX-MANAGED INTL FD    COM    921943858       24,104       800   SH         DEFINED      4                            800
VANGUARD TAX-MANAGED INTL FD    COM    921943858       20,897       694   SH         DEFINED      3                            694
VANGUARD TAX-MANAGED INTL FD    COM    921943858      382,169    12,684   SH         DEFINED      2                         12,684
VANGUARD WHITEHALL FDS INC      COM    921946406       34,680       858   SH         DEFINED      4                            858
VANGUARD WHITEHALL FDS INC      COM    921946406       13,824       342   SH         DEFINED      3                            342
VANGUARD WORLD FD               COM    921910873      115,720     2,984   SH         DEFINED      3                          2,984
VANGUARD WORLD FD               COM    921910873        7,823       202   SH         DEFINED      2                            202
VANGUARD WORLD FDS              COM    92204A306        8,634       100   SH         DEFINED      4                            100
VANGUARD WORLD FDS              COM    92204A504        5,669       100   SH         DEFINED      4                            100
VANGUARD WORLD FDS              COM    92204A603        8,478       157   SH         DEFINED      4                            157
VANGUARD WORLD FDS              COM    92204A702      513,877     9,054   SH         DEFINED      4                          9,054
VANGUARD WORLD FDS              COM    92204A801       38,682       600   SH         DEFINED      4                            600
VANGUARD WORLD FDS              COM    92204A207       15,246       200   SH         DEFINED      3                            200
VANGUARD WORLD FDS              COM    92204A306      135,381     1,568   SH         DEFINED      3                          1,568
VANGUARD WORLD FDS              COM    92204A504       23,130       408   SH         DEFINED      3                            408
VANGUARD WORLD FDS              COM    92204A801       13,797       214   SH         DEFINED      3                            214
VANGUARD WORLD FDS              COM    92204A876        2,715        38   SH         DEFINED      3                             38
VANGUARD WORLD FDS              COM    92204A884        4,551        75   SH         DEFINED      3                             75
VANGUARD WORLD FDS              COM    92204A108        4,126        74   SH         DEFINED      2                             74
VANGUARD WORLD FDS              COM    92204A207      646,376     8,479   SH         DEFINED      2                          8,479
VANGUARD WORLD FDS              COM    92204A306       61,042       707   SH         DEFINED      2                            707
VANGUARD WORLD FDS              COM    92204A405       37,176     1,492   SH         DEFINED      2                          1,492
VANGUARD WORLD FDS              COM    92204A504      710,269    12,529   SH         DEFINED      2                         12,529
VANGUARD WORLD FDS              COM    92204A603       12,601       233   SH         DEFINED      2                            233
VANGUARD WORLD FDS              COM    92204A702       44,784       789   SH         DEFINED      2                            789
VANGUARD WORLD FDS              COM    92204A801      115,401     1,790   SH         DEFINED      2                          1,790
VANGUARD WORLD FDS              COM    92204A876       17,942       251   SH         DEFINED      2                            251
VANGUARD WORLD FDS              COM    92204A884        7,828       129   SH         DEFINED      2                            129
VANTAGE DRILLING CO             COM    G93205113      159,465   127,572   SH         SOLE         1    127,572
VARIAN MED SYS INC              COM    92220P105       62,592     1,200   SH         DEFINED      4                          1,200
VARIAN MED SYS INC              COM    92220P105       69,894     1,340   SH         DEFINED      3                          1,340
VARIAN MEDICAL SYSTEMS INC      COM    92220P105    1,924,287    36,892   SH         SOLE         1     36,892
VARIAN SEMICONDUCTOR EQUIP      COM    922207105   10,068,531   164,653   SH         SOLE         1    164,653
VASCO DATA SEC INTL INC         COM    92230Y104        9,198     1,800   SH         DEFINED      4                          1,800
VASCO DATA SEC INTL INC         COM    92230Y104        2,811       550   SH         DEFINED      3                            550
VASCO DATA SECURITY INTL        COM    92230Y104      100,866    19,739   SH         SOLE         1     19,739
VASCULAR SOLUTIONS INC          COM    92231M109      141,728    12,378   SH         SOLE         1     12,378
VCA ANTECH INC                  COM    918194101    3,037,814   190,101   SH         SOLE         1    190,101
VCA ANTECH INC                  COM    918194101        1,598       100   SH         DEFINED      2                            100
VECTOR GROUP LTD                COM    92240M108      603,729    35,141   SH         SOLE         1     35,141
VECTOR GROUP LTD                COM    92240M108      117,322     6,829   SH         DEFINED      4                          6,829
VECTOR GROUP LTD                COM    92240M108       67,157     3,909   SH         DEFINED      3                          3,909
VECTOR GROUP LTD                COM    92240M108        3,436       200   SH         DEFINED      2                            200
VECTREN CORPORATION             COM    92240G101    4,873,263   179,958   SH         SOLE         1    179,958
VEECO INSTRS INC DEL            COM    922417100        6,100       250   SH         DEFINED      4                            250
VEECO INSTRS INC DEL            COM    922417100       20,130       825   SH         DEFINED      3                            825
VEECO INSTRUMENTS INC           COM    922417100      814,984    33,401   SH         SOLE         1     33,401
VENOCO INC                      COM    92275P307      190,234    21,593   SH         SOLE         1     21,593
VENOCO INC                      COM    92275P307        4,846       550   SH         DEFINED      3                            550
VENTAS INC                      COM    92276F100    4,526,028    91,620   SH         SOLE         1     91,620
VENTAS INC                      COM    92276F100        1,927        39   SH         DEFINED      3                             39
VENTAS INC                      COM    92276F100       18,080       366   SH         DEFINED      2                            366
VEOLIA ENVIRONNEMENT            COM    92334N103        4,368       300   SH         DEFINED      4                            300
VEOLIA ENVIRONNEMENT            COM    92334N103       12,624       867   SH         DEFINED      3                            867
VERA BRADLEY INC                COM    92335C106      521,535    14,467   SH         SOLE         1     14,467
VERENIUM CORP                   COM    92340P209          120        50   SH         DEFINED      3                             50
VERIFONE SYSTEMS INC            COM    92342Y109   12,731,766   363,557   SH         SOLE         1    363,557
VERINT SYSTEMS INC              COM    92343X100      406,654    15,468   SH         SOLE         1     15,468
VERISIGN INC                    COM    92343E102    1,754,737    61,333   SH         SOLE         1     61,333
VERISK ANALYTICS INC CLASS      COM    92345Y106       74,721     2,149   SH         SOLE         1      2,149
VERIZON COMMUNICATIONS INC      COM    92343V104   73,871,878 2,007,388   SH         SOLE         1  2,007,388
VERIZON COMMUNICATIONS INC      COM    92343V104    4,329,391   117,647   SH         DEFINED      4                        117,647
VERIZON COMMUNICATIONS INC      COM    92343V104    3,804,106   103,372   SH         DEFINED      3                        103,372
VERIZON COMMUNICATIONS INC      COM    92343V104    1,165,580    31,673   SH         DEFINED      2                         31,673
VERSO PAPER CORP                COM    92531L108       18,230    10,916   SH         SOLE         1     10,916
VERTEX PHARMACEUTICALS INC      COM    92532F100   20,718,004   465,155   SH         SOLE         1    465,155
VF CORP                         COM    918204108    6,780,087    55,794   SH         SOLE         1     55,794
VIACOM INC CLASS B              COM    92553P201   10,279,853   265,355   SH         SOLE         1    265,355
VIACOM INC NEW                  COM    92553P201       37,423       966   SH         DEFINED      4                            966
VIACOM INC NEW                  COM    92553P102          387         8   SH         DEFINED      3                              8
VIACOM INC NEW                  COM    92553P201       89,141     2,301   SH         DEFINED      3                          2,301
VIACOM INC NEW                  COM    92553P201        7,477       193   SH         DEFINED      2                            193
VIAD CORP                       COM    92552R406      283,396    16,690   SH         SOLE         1     16,690
VIAD CORP                       COM    92552R406       49,004     2,886   SH         DEFINED      4                          2,886
VIASAT INC                      COM    92552V100    1,007,294    30,240   SH         SOLE         1     30,240
VIASYSTEMS GROUP INC            COM    92553H803       36,675     2,085   SH         SOLE         1      2,085
VICAL INC                       COM    925602104      129,900    52,379   SH         SOLE         1     52,379
VICOR CORP                      COM    925815102      140,481    16,055   SH         SOLE         1     16,055
VIEWPOINT FINANCIAL GROUP       COM    92672A101      291,357    25,446   SH         SOLE         1     25,446






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
VILLAGE SUPER MARKET CLASS      COM    927107409      109,286     4,565   SH         SOLE         1      4,565
VIMPELCOM LTD                   COM    92719A106          953       100   SH         DEFINED      2                            100
VIRGIN MEDIA INC                COM    92769L101      513,006    21,068   SH         SOLE         1     21,068
VIRGINIA COMMERCE BANCORP       COM    92778Q109      100,406    17,105   SH         SOLE         1     17,105
VIRNETX HLDG CORP               COM    92823T108      146,677     9,785   SH         DEFINED      3                          9,785
VIRNETX HLDG CORP               COM    92823T908       18,450        85   SH  C      DEFINED      3                             85
VIRNETX HLDG CORP               COM    92823T108       41,972     2,800   SH         DEFINED      2                          2,800
VIRNETX HOLDING CORP            COM    92823T108      445,668    29,731   SH         SOLE         1     29,731
VIROPHARMA INC                  COM    928241108    5,450,436   301,629   SH         SOLE         1    301,629
VIROPHARMA INC                  COM    928241108          578        32   SH         DEFINED      3                             32
VIROPHARMA INC                  COM    928241108       12,649       700   SH         DEFINED      2                            700
VIRTUS INVESTMENT PARTNERS      COM    92828Q109      214,748     4,005   SH         SOLE         1      4,005
VIRTUSA CORP                    COM    92827P102      167,548    12,693   SH         SOLE         1     12,693
VISA INC                        COM    92826C839       69,862       815   SH         DEFINED      4                            815
VISA INC                        COM    92826C839      218,140     2,545   SH         DEFINED      3                          2,545
VISA INC                        COM    92826C839       91,013     1,062   SH         DEFINED      2                          1,062
VISA INC CLASS A SHARES         COM    92826C839   24,769,137   288,954   SH         SOLE         1    288,954
VISHAY INTERTECHNOLOGY INC      COM    928298108    5,386,967   644,374   SH         SOLE         1    644,374
VISHAY INTERTECHNOLOGY INC      COM    928298108      329,175    39,375   SH         DEFINED      3                         39,375
VISHAY INTERTECHNOLOGY INC      COM    928298108        2,717       325   SH         DEFINED      2                            325
VISHAY PRECISION GROUP          COM    92835K103      118,396     8,983   SH         SOLE         1      8,983
VISHAY PRECISION GROUP INC      COM    92835K103          303        23   SH         DEFINED      2                             23
VISTA GOLD CORP                 COM    927926303      173,293    51,884   SH         SOLE         1     51,884
VISTAPRINT NV                   COM    N93540107       72,603     2,686   SH         SOLE         1      2,686
VISTEON CORP                    COM    92839U206       59,555     1,385   SH         SOLE         1      1,385
VISTEON CORP                    COM    92839U206          301         7   SH         DEFINED      4                              7
VISTEON CORP                    COM    92839U206          645        15   SH         DEFINED      3                             15
VITAMIN SHOPPE INC              COM    92849E101      775,382    20,710   SH         SOLE         1     20,710
VIVUS INC                       COM    928551100      523,759    64,902   SH         SOLE         1     64,902
VIVUS INC                       COM    928551100        2,098       260   SH         DEFINED      3                            260
VIVUS INC                       COM    928551100        3,228       400   SH         DEFINED      2                            400
VMWARE INC                      COM    928563402       24,918       310   SH         DEFINED      3                            310
VMWARE INC                      COM    928563402       34,162       425   SH         DEFINED      2                            425
VOCUS INC                       COM    92858J108      215,634    12,866   SH         SOLE         1     12,866
VODAFONE GROUP PLC NEW          COM    92857W209      425,545    16,584   SH         DEFINED      4                         16,584
VODAFONE GROUP PLC NEW          COM    92857W209      502,215    19,572   SH         DEFINED      3                         19,572
VODAFONE GROUP PLC NEW          COM    92857W209       98,477     3,838   SH         DEFINED      2                          3,838
VODAFONE GROUP PLC SP ADR       COM    92857W209    2,529,911    98,632   SH         SOLE         1     98,632
VOLCANO CORP                    COM    928645100    8,387,246   283,066   SH         SOLE         1    283,066
VOLCANO CORPORATION             COM    928645100        4,445       150   SH         DEFINED      4                            150
VOLTERRA SEMICONDUCTOR COR      COM    928708106      387,292    20,140   SH         SOLE         1     20,140
VONAGE HOLDINGS CORP            COM    92886T201   29,270,15811,257,753   SH         SOLE         1 11,257,753
VORNADO REALTY TRUST            COM    929042109    4,533,240    60,751   SH         SOLE         1     60,751
VOYAGER OIL & GAS INC           COM    92911K100        4,725     2,250   SH         DEFINED      3                          2,250
VOYAGER OIL + GAS INC           COM    92911K100       72,047    34,308   SH         SOLE         1     34,308
VSE CORP                        COM    918284100       78,080     3,017   SH         SOLE         1      3,017
VSE CORP                        COM    918284100        2,096        81   SH         DEFINED      3                             81
VULCAN MATERIALS CO             COM    929160109    1,185,383    43,011   SH         SOLE         1     43,011
VULCAN MATLS CO                 COM    929160109        4,051       147   SH         DEFINED      4                            147
VULCAN MATLS CO                 COM    929160109       13,087       475   SH         DEFINED      3                            475
W & T OFFSHORE INC              COM    92922P106       13,760     1,000   SH         DEFINED      2                          1,000
W P CAREY & CO LLC              COM    92930Y107      156,649     4,300   SH         DEFINED      4                          4,300
W P CAREY & CO LLC              COM    92930Y107        5,465       150   SH         DEFINED      2                            150
W+T OFFSHORE INC                COM    92922P106      350,261    25,455   SH         SOLE         1     25,455
WABASH NATIONAL CORP            COM    929566107    2,706,155   567,328   SH         SOLE         1    567,328
WABASH NATL CORP                COM    929566107       14,310     3,000   SH         DEFINED      3                          3,000
WABCO HLDGS INC                 COM    92927K102        3,786       100   SH         DEFINED      3                            100
WABCO HLDGS INC                 COM    92927K102      121,152     3,200   SH         DEFINED      2                          3,200
WABCO HOLDINGS INC              COM    92927K102       42,744     1,129   SH         SOLE         1      1,129
WABTEC CORP                     COM    929740108    5,565,784   105,273   SH         SOLE         1    105,273
WADDELL + REED FINANCIAL A      COM    930059100    4,696,978   187,804   SH         SOLE         1    187,804
WAL MART STORES INC             COM    931142103   31,334,885   603,755   SH         SOLE         1    603,755
WAL MART STORES INC             COM    931142103      435,608     8,393   SH         DEFINED      4                          8,393
WAL MART STORES INC             COM    931142103      698,741    13,463   SH         DEFINED      3                         13,463
WAL MART STORES INC             COM    931142103      751,900    14,487   SH         DEFINED      2                         14,487
WALGREEN CO                     COM    931422109    9,006,894   273,849   SH         SOLE         1    273,849
WALGREEN CO                     COM    931422109       61,044     1,856   SH         DEFINED      4                          1,856
WALGREEN CO                     COM    931422109      258,666     7,865   SH         DEFINED      3                          7,865
WALGREEN CO                     COM    931422109       85,275     2,593   SH         DEFINED      2                          2,593
WALKER + DUNLOP INC             COM    93148P102       91,182     7,847   SH         SOLE         1      7,847
WALT DISNEY CO/THE              COM    254687106   26,560,374   880,649   SH         SOLE         1    880,649
WALTER ENERGY INC               COM    93317Q105       58,690       978   SH         SOLE         1        978
WALTER ENERGY INC               COM    93317Q105       24,004       400   SH         DEFINED      4                            400
WALTER ENERGY INC               COM    93317Q105       12,002       200   SH         DEFINED      3                            200
WALTER ENERGY INC               COM    93317Q105      120,020     2,000   SH         DEFINED      2                          2,000
WALTER INVESTMENT MANAGEME      COM    93317W102      432,116    18,845   SH         SOLE         1     18,845
WALTER INVT MGMT CORP           COM    93317W102          138         6   SH         DEFINED      4                              6
WALTER INVT MGMT CORP           COM    93317W102        9,172       400   SH         DEFINED      3                            400
WARNACO GROUP INC/THE           COM    934390402    5,776,690   125,335   SH         SOLE         1    125,335
WARNER CHILCOTT PLC CLASS       COM    G94368100      225,125    15,743   SH         SOLE         1     15,743
WARREN RESOURCES INC            COM    93564A100      125,194    52,164   SH         SOLE         1     52,164






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
WASHINGTON BANKING CO           COM    937303105      108,966    11,199   SH         SOLE         1     11,199
WASHINGTON FEDERAL INC          COM    938824109    3,084,176   242,086   SH         SOLE         1    242,086
WASHINGTON POST CLASS B         COM    939640108      532,961     1,630   SH         SOLE         1      1,630
WASHINGTON REAL ESTATE INVT     COM    939653101       14,090       500   SH         DEFINED      4                            500
WASHINGTON REAL ESTATE INVT     COM    939653101       32,689     1,160   SH         DEFINED      3                          1,160
WASHINGTON REAL ESTATE INVT     COM    939653101       22,967       815   SH         DEFINED      2                            815
WASHINGTON REIT                 COM    939653101    1,357,290    48,165   SH         SOLE         1     48,165
WASHINGTON TRUST BANCORP        COM    940610108      205,910    10,410   SH         SOLE         1     10,410
WASTE CONNECTIONS INC           COM    941053100   13,361,572   395,079   SH         SOLE         1    395,079
WASTE CONNECTIONS INC           COM    941053100        6,832       202   SH         DEFINED      3                            202
WASTE CONNECTIONS INC           COM    941053100        2,638        78   SH         DEFINED      2                             78
WASTE MANAGEMENT INC            COM    94106L109    4,630,520   142,215   SH         SOLE         1    142,215
WASTE MGMT INC DEL              COM    94106L109      110,248     3,386   SH         DEFINED      4                          3,386
WASTE MGMT INC DEL              COM    94106L109      340,725    10,465   SH         DEFINED      3                         10,465
WASTE MGMT INC DEL              COM    94106L109      184,785     5,675   SH         DEFINED      2                          5,675
WATERS CORP                     COM    941848103    2,172,225    28,775   SH         SOLE         1     28,775
WATERS CORP                     COM    941848103           75         1   SH         DEFINED      3                              1
WATERS CORP                     COM    941848103       81,529     1,080   SH         DEFINED      2                          1,080
WATSCO INC                      COM    942622200    4,187,185    81,941   SH         SOLE         1     81,941
WATSON PHARMACEUTICALS INC      COM    942683103    3,393,595    49,723   SH         SOLE         1     49,723
WATSON PHARMACEUTICALS INC      COM    942683103        4,573        67   SH         DEFINED      4                             67
WATSON PHARMACEUTICALS INC      COM    942683103      273,000     4,000   SH         DEFINED      3                          4,000
WATTS WATER TECHNOLOGIES A      COM    942749102    1,782,432    66,883   SH         SOLE         1     66,883
WATTS WATER TECHNOLOGIES INC    COM    942749102       39,975     1,500   SH         DEFINED      4                          1,500
WATTS WATER TECHNOLOGIES INC    COM    942749102        3,331       125   SH         DEFINED      3                            125
WAUSAU PAPER CORP               COM    943315101      257,415    40,284   SH         SOLE         1     40,284
WAUSAU PAPER CORP               COM    943315101        3,546       555   SH         DEFINED      3                            555
WAVE SYSTEMS CORP CLASS A       COM    943526301      141,605    60,515   SH         SOLE         1     60,515
WCA WASTE CORP                  COM    92926K103       52,114    12,291   SH         SOLE         1     12,291
WD 40 CO                        COM    929236107      550,589    13,820   SH         SOLE         1     13,820
WEATHERFORD INTERNATIONAL LT    COM    H27013103       72,137     5,908   SH         DEFINED      4                          5,908
WEATHERFORD INTERNATIONAL LT    COM    H27013103       15,873     1,300   SH         DEFINED      3                          1,300
WEATHERFORD INTERNATIONAL LT    COM    H27013103      107,814     8,830   SH         DEFINED      2                          8,830
WEB COM GROUP INC               COM    94733A104          698       100   SH         DEFINED      3                            100
WEB.COM GROUP INC               COM    94733A104      148,185    21,230   SH         SOLE         1     21,230
WEBMD HEALTH CORP               COM    94770V102       24,391       809   SH         SOLE         1        809
WEBMD HEALTH CORP               COM    94770V102       15,075       500   SH         DEFINED      3                            500
WEBMD HEALTH CORP               COM    94770V102       11,427       379   SH         DEFINED      2                            379
WEBSENSE INC                    COM    947684106      565,952    32,714   SH         SOLE         1     32,714
WEBSTER FINANCIAL CORP          COM    947890109    3,243,875   212,018   SH         SOLE         1    212,018
WEIGHT WATCHERS INTL INC        COM    948626106       23,184       398   SH         SOLE         1        398
WEIGHT WATCHERS INTL INC NEW    COM    948626106        1,456        25   SH         DEFINED      3                             25
WEINGARTEN REALTY INVESTOR      COM    948741103    5,625,949   265,751   SH         SOLE         1    265,751
WEINGARTEN RLTY INVS            COM    948741103        7,134       337   SH         DEFINED      4                            337
WEINGARTEN RLTY INVS            COM    948741103       10,585       500   SH         DEFINED      2                            500
WEIS MARKETS INC                COM    948849104      297,777     8,035   SH         SOLE         1      8,035
WEIS MKTS INC                   COM    948849104        3,706       100   SH         DEFINED      2                            100
WELLCARE HEALTH PLANS INC       COM    94946T106    4,697,594   123,686   SH         SOLE         1    123,686
WELLPOINT INC                   COM    94973V107   10,776,684   165,084   SH         SOLE         1    165,084
WELLPOINT INC                   COM    94973V107       23,827       365   SH         DEFINED      4                            365
WELLPOINT INC                   COM    94973V107       19,715       302   SH         DEFINED      3                            302
WELLPOINT INC                   COM    94973V107       31,401       481   SH         DEFINED      2                            481
WELLS FARGO & CO NEW            COM    949746101      146,529     6,075   SH         DEFINED      4                          6,075
WELLS FARGO & CO NEW            COM    949746101      170,713     7,078   SH         DEFINED      3                          7,078
WELLS FARGO & CO NEW            COM    949746101    6,586,133   273,057   SH         DEFINED      2                        273,057
WELLS FARGO + CO                COM    949746101   59,693,237 2,474,844   SH         SOLE         1  2,474,844
WELLS FARGO ADV GLB DIV OPP     COM    94987C103       13,957     1,749   SH         DEFINED      3                          1,749
WELLS FARGO ADVANTAGE INCOME    COM    94987B105        3,744       400   SH         DEFINED      4                            400
WELLS FARGO ADVANTAGE INCOME    COM    94987B105       16,762     1,791   SH         DEFINED      3                          1,791
WELLS FARGO ADVANTAGE INCOME    COM    94987B105       70,883     7,573   SH         DEFINED      2                          7,573
WELLS FARGO ADVANTAGE MULTI     COM    94987D101        2,842       200   SH         DEFINED      4                            200
WELLS FARGO ADVANTAGE MULTI     COM    94987D101       25,464     1,792   SH         DEFINED      3                          1,792
WELLS FARGO ADVANTAGE UTILS     COM    94987E109        2,052       200   SH         DEFINED      4                            200
WELLS FARGO ADVANTAGE UTILS     COM    94987E109       10,667     1,040   SH         DEFINED      3                          1,040
WENDY S CO/THE                  COM    95058W100    3,035,785   661,391   SH         SOLE         1    661,391
WENDYS CO                       COM    95058W100        4,590     1,000   SH         DEFINED      4                          1,000
WENDYS CO                       COM    95058W900        1,200        80   SH  C      DEFINED      4                             80
WENDYS CO                       COM    95058W100        3,213       700   SH         DEFINED      3                            700
WENDYS CO                       COM    95058W100        9,754     2,125   SH         DEFINED      2                          2,125
WERNER ENTERPRISES INC          COM    950755108    2,672,656   128,308   SH         SOLE         1    128,308
WESBANCO INC                    COM    950810101      292,175    16,879   SH         SOLE         1     16,879
WESCO INTERNATIONAL INC         COM    95082P105       31,034       925   SH         SOLE         1        925
WESCO INTL INC                  COM    95082P105       33,550     1,000   SH         DEFINED      3                          1,000
WEST BANCORPORATION             COM    95123P106       96,367    11,364   SH         SOLE         1     11,364
WEST COAST BANCORP/OREGON       COM    952145209      197,176    14,084   SH         SOLE         1     14,084
WEST MARINE INC                 COM    954235107       83,222    10,808   SH         SOLE         1     10,808
WEST PHARMACEUTICAL SERVIC      COM    955306105    1,018,395    27,450   SH         SOLE         1     27,450
WESTAMERICA BANCORPORATION      COM    957090103    3,176,421    82,892   SH         SOLE         1     82,892
WESTAR ENERGY INC               COM    95709T100    6,725,158   254,548   SH         SOLE         1    254,548
WESTAR ENERGY INC               COM    95709T100       91,387     3,459   SH         DEFINED      3                          3,459
WESTELL TECHNOLOGIES INC A      COM    957541105       83,765    38,780   SH         SOLE         1     38,780






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
WESTERN ALLIANCE BANCORP        COM    957638109      277,524    50,643   SH         SOLE         1     50,643
WESTERN ASSET CLYM INFL OPP     COM    95766R104       39,153     3,100   SH         DEFINED      3                          3,100
WESTERN ASSET CLYM INFL OPP     COM    95766R104       69,566     5,508   SH         DEFINED      2                          5,508
WESTERN ASSET CLYM INFL SEC     COM    95766Q106       61,869     4,887   SH         DEFINED      2                          4,887
WESTERN ASSET EMRG MKT DEBT     COM    95766A101       45,200     2,500   SH         DEFINED      4                          2,500
WESTERN ASSET EMRG MKT DEBT     COM    95766A101          435        24   SH         DEFINED      3                             24
WESTERN ASSET EMRG MKT DEBT     COM    95766A101        2,278       126   SH         DEFINED      2                            126
WESTERN ASSET EMRG MKT INCM     COM    95766E103        5,080       400   SH         DEFINED      4                            400
WESTERN ASSET GLB HI INCOME     COM    95766B109       48,013     4,132   SH         DEFINED      4                          4,132
WESTERN ASSET GLB HI INCOME     COM    95766B109       14,037     1,208   SH         DEFINED      3                          1,208
WESTERN ASSET HIGH INCM FD I    COM    95766J102      124,740    13,200   SH         DEFINED      4                         13,200
WESTERN ASSET HIGH INCM FD I    COM    95766H106       16,554     1,728   SH         DEFINED      3                          1,728
WESTERN ASSET HIGH INCM FD I    COM    95766J102       25,165     2,663   SH         DEFINED      3                          2,663
WESTERN ASSET HIGH INCM FD I    COM    95766J102       69,344     7,338   SH         DEFINED      2                          7,338
WESTERN ASSET HIGH INCM OPP     COM    95766K109       28,224     4,883   SH         DEFINED      3                          4,883
WESTERN ASSET HIGH INCM OPP     COM    95766K109        6,156     1,065   SH         DEFINED      2                          1,065
WESTERN ASSET INFL MGMT FD I    COM    95766U107       12,689       728   SH         DEFINED      3                            728
WESTERN ASSET MGD HI INCM FD    COM    95766L107        4,820       850   SH         DEFINED      3                            850
WESTERN ASSET MGD HI INCM FD    COM    95766L107       18,711     3,300   SH         DEFINED      2                          3,300
WESTERN ASSET MUN DEF OPP TR    COM    95768A109      133,897     6,370   SH         DEFINED      4                          6,370
WESTERN ASSET MUN DEF OPP TR    COM    95768A109        1,051        50   SH         DEFINED      3                             50
WESTERN ASSET PREMIER BD FD     COM    957664105      261,440    17,200   SH         DEFINED      3                         17,200
WESTERN ASST MN PRT FD INC      COM    95766P108       42,093     2,825   SH         DEFINED      4                          2,825
WESTERN ASST MN PRT FD INC      COM    95766P108       14,900     1,000   SH         DEFINED      3                          1,000
WESTERN ASST MNG MUN FD INC     COM    95766M105       13,100     1,000   SH         DEFINED      3                          1,000
WESTERN DIGITAL CORP            COM    958102105    2,381,672    92,600   SH         SOLE         1     92,600
WESTERN DIGITAL CORP            COM    958102105        8,359       325   SH         DEFINED      4                            325
WESTERN DIGITAL CORP            COM    958102105       20,319       790   SH         DEFINED      3                            790
WESTERN DIGITAL CORP            COM    958102105       17,232       670   SH         DEFINED      2                            670
WESTERN GAS PARTNERS LP         COM    958254104      149,939     4,440   SH         DEFINED      4                          4,440
WESTERN GAS PARTNERS LP         COM    958254104       24,449       724   SH         DEFINED      3                            724
WESTERN REFINING INC            COM    959319104      480,183    38,538   SH         SOLE         1     38,538
WESTERN REFNG INC               COM    959319104        7,476       600   SH         DEFINED      3                            600
WESTERN UN CO                   COM    959802109        5,489       359   SH         DEFINED      4                            359
WESTERN UN CO                   COM    959802109        8,379       548   SH         DEFINED      3                            548
WESTERN UN CO                   COM    959802109        1,835       120   SH         DEFINED      2                            120
WESTERN UNION CO                COM    959802109    3,491,456   228,349   SH         SOLE         1    228,349
WESTFIELD FINANCIAL INC         COM    96008P104      134,990    20,484   SH         SOLE         1     20,484
WESTINGHOUSE SOLAR              COM    96040V101           28        37   SH         DEFINED      2                             37
WESTLAKE CHEMICAL CORP          COM    960413102       17,071       498   SH         SOLE         1        498
WESTMORELAND COAL CO            COM    960878106       56,074     7,226   SH         SOLE         1      7,226
WESTPORT INNOVATIONS INC        COM    960908309       50,628     1,750   SH         DEFINED      4                          1,750
WESTPORT INNOVATIONS INC        COM    960908309       24,880       860   SH         DEFINED      3                            860
WESTPORT INNOVATIONS INC        COM    960908309       99,143     3,427   SH         DEFINED      2                          3,427
WESTWOOD HOLDINGS GROUP IN      COM    961765104      157,375     4,555   SH         SOLE         1      4,555
WESTWOOD ONE INC                COM    961815305       13,355     3,679   SH         SOLE         1      3,679
WET SEAL INC/THE CLASS A        COM    961840105      296,164    66,108   SH         SOLE         1     66,108
WEYCO GROUP INC                 COM    962149100      116,674     5,232   SH         SOLE         1      5,232
WEYERHAEUSER CO                 COM    962166104    2,746,814   176,644   SH         SOLE         1    176,644
WEYERHAEUSER CO                 COM    962166104        5,287       340   SH         DEFINED      4                            340
WEYERHAEUSER CO                 COM    962166104       19,921     1,281   SH         DEFINED      3                          1,281
WEYERHAEUSER CO                 COM    962166104       28,877     1,857   SH         DEFINED      2                          1,857
WGL HLDGS INC                   COM    92924F106        3,594        92   SH         DEFINED      2                             92
WGL HOLDINGS INC                COM    92924F106    5,806,388   148,615   SH         SOLE         1    148,615
WHIRLPOOL CORP                  COM    963320106    1,269,161    25,429   SH         SOLE         1     25,429
WHIRLPOOL CORP                  COM    963320106        7,487       150   SH         DEFINED      3                            150
WHIRLPOOL CORP                  COM    963320106        4,008        80   SH         DEFINED      2                             80
WHITE MOUNTAINS INSURANCE       COM    G9618E107       87,642       216   SH         SOLE         1        216
WHITE RIVER CAPITAL INC         COM    96445P105        2,557       132   SH         DEFINED      3                            132
WHITESTONE REIT B               COM    966084204       61,114     5,486   SH         SOLE         1      5,486
WHITING PETE CORP NEW           COM    966387102        5,753       164   SH         DEFINED      2                            164
WHITING PETROLEUM CORP          COM    966387102       63,881     1,821   SH         SOLE         1      1,821
WHITING USA TR I                COM    966389108      664,283    39,945   SH         DEFINED      3                         39,945
WHITING USA TR I                COM    966389108        3,326       200   SH         DEFINED      2                            200
WHOLE FOODS MARKET INC          COM    966837106    4,987,529    76,367   SH         SOLE         1     76,367
WHOLE FOODS MKT INC             COM    966837106        4,049        62   SH         DEFINED      4                             62
WHOLE FOODS MKT INC             COM    966837106       20,899       320   SH         DEFINED      3                            320
WHOLE FOODS MKT INC             COM    966837106      289,780     4,437   SH         DEFINED      2                          4,437
WILEY (JOHN) + SONS CLASS       COM    968223206    4,603,778   103,642   SH         SOLE         1    103,642
WILEY JOHN & SONS INC           COM    968223206        1,954        44   SH         DEFINED      2                             44
WILLAMETTE VY VINEYARD INC      COM    969136100        2,960     1,000   SH         DEFINED      3                          1,000
WILLBROS GROUP INC              COM    969203108      118,983    28,533   SH         SOLE         1     28,533
WILLIAMS COS INC                COM    969457100    6,081,958   249,875   SH         SOLE         1    249,875
WILLIAMS COS INC DEL            COM    969457100       12,170       500   SH         DEFINED      4                            500
WILLIAMS COS INC DEL            COM    969457100       74,334     3,054   SH         DEFINED      3                          3,054
WILLIAMS COS INC DEL            COM    969457100       15,821       650   SH         DEFINED      2                            650
WILLIAMS PARTNERS L P           COM    96950F104      352,180     6,493   SH         DEFINED      3                          6,493
WILLIAMS SONOMA INC             COM    969904101    7,039,980   228,645   SH         SOLE         1    228,645
WILLIAMS SONOMA INC             COM    969904101        6,158       200   SH         DEFINED      3                            200
WILSHIRE BANCORP INC            COM    97186T108      137,693    50,253   SH         SOLE         1     50,253
WINDSTREAM CORP                 COM    97381W104    4,023,260   345,048   SH         SOLE         1    345,048






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
WINDSTREAM CORP                 COM    97381W104      774,690    66,497   SH         DEFINED      4                         66,497
WINDSTREAM CORP                 COM    97381W104    1,045,620    89,753   SH         DEFINED      3                         89,753
WINDSTREAM CORP                 COM    97381W104       50,689     4,351   SH         DEFINED      2                          4,351
WINMARK CORP                    COM    974250102       76,171     1,648   SH         SOLE         1      1,648
WINN DIXIE STORES INC           COM    974280307    4,609,720   778,669   SH         SOLE         1    778,669
WINNEBAGO INDUSTRIES            COM    974637100      165,090    23,857   SH         SOLE         1     23,857
WINTHROP REALTY TRUST           COM    976391300      182,082    20,953   SH         SOLE         1     20,953
WINTRUST FINANCIAL CORP         COM    97650W108      740,541    28,692   SH         SOLE         1     28,692
WISCONSIN ENERGY CORP           COM    976657106    2,594,974    82,933   SH         SOLE         1     82,933
WISCONSIN ENERGY CORP           COM    976657106       33,918     1,084   SH         DEFINED      4                          1,084
WISCONSIN ENERGY CORP           COM    976657106        2,190        70   SH         DEFINED      3                             70
WISDOMTREE TR                   COM    97717X867      378,481     7,867   SH         DEFINED      3                          7,867
WISDOMTREE TR                   COM    97717X859        4,574       184   SH         DEFINED      2                            184
WISDOMTREE TR                   COM    97717X867       33,677       700   SH         DEFINED      2                            700
WISDOMTREE TRUST                COM    97717W133        4,136       200   SH         DEFINED      4                            200
WISDOMTREE TRUST                COM    97717W182       46,338     1,833   SH         DEFINED      4                          1,833
WISDOMTREE TRUST                COM    97717W315        7,103       150   SH         DEFINED      4                            150
WISDOMTREE TRUST                COM    97717W505      164,244     3,562   SH         DEFINED      4                          3,562
WISDOMTREE TRUST                COM    97717W836      108,975     2,500   SH         DEFINED      4                          2,500
WISDOMTREE TRUST                COM    97717W281        3,866       100   SH         DEFINED      4                            100
WISDOMTREE TRUST                COM    97717W547        9,076       250   SH         DEFINED      4                            250
WISDOMTREE TRUST                COM    97717W562       81,450     1,875   SH         DEFINED      4                          1,875
WISDOMTREE TRUST                COM    97717W570       18,780       400   SH         DEFINED      4                            400
WISDOMTREE TRUST                COM    97717W133      300,108    14,512   SH         DEFINED      3                         14,512
WISDOMTREE TRUST                COM    97717W182       68,256     2,700   SH         DEFINED      3                          2,700
WISDOMTREE TRUST                COM    97717W216           70         3   SH         DEFINED      3                              3
WISDOMTREE TRUST                COM    97717W307       34,648       788   SH         DEFINED      3                            788
WISDOMTREE TRUST                COM    97717W315       33,571       709   SH         DEFINED      3                            709
WISDOMTREE TRUST                COM    97717W836        9,633       221   SH         DEFINED      3                            221
WISDOMTREE TRUST                COM    97717W851        1,301        40   SH         DEFINED      3                             40
WISDOMTREE TRUST                COM    97717W125      548,507    11,516   SH         DEFINED      3                         11,516
WISDOMTREE TRUST                COM    97717W281       71,444     1,848   SH         DEFINED      3                          1,848
WISDOMTREE TRUST                COM    97717W331       20,517       925   SH         DEFINED      3                            925
WISDOMTREE TRUST                COM    97717W653      165,368     9,364   SH         DEFINED      3                          9,364
WISDOMTREE TRUST                COM    97717W711       43,260     2,060   SH         DEFINED      3                          2,060
WISDOMTREE TRUST                COM    97717W760       25,918       595   SH         DEFINED      3                            595
WISDOMTREE TRUST                COM    97717W778       23,124       542   SH         DEFINED      3                            542
WISDOMTREE TRUST                COM    97717W794       18,297       482   SH         DEFINED      3                            482
WISDOMTREE TRUST                COM    97717W109       10,526       240   SH         DEFINED      2                            240
WISDOMTREE TRUST                COM    97717W240        9,524       390   SH         DEFINED      2                            390
WISDOMTREE TRUST                COM    97717W315       47,813     1,010   SH         DEFINED      2                          1,010
WISDOMTREE TRUST                COM    97717W406       59,013     1,258   SH         DEFINED      2                          1,258
WISDOMTREE TRUST                COM    97717W422      172,654     9,513   SH         DEFINED      2                          9,513
WISDOMTREE TRUST                COM    97717W604        4,413       112   SH         DEFINED      2                            112
WISDOMTREE TRUST                COM    97717W828        4,694        87   SH         DEFINED      2                             87
WISDOMTREE TRUST                COM    97717W125          953        20   SH         DEFINED      2                             20
WISDOMTREE TRUST                COM    97717W281       22,036       570   SH         DEFINED      2                            570
WISDOMTREE TRUST                COM    97717W331        8,096       365   SH         DEFINED      2                            365
WISDOMTREE TRUST                COM    97717W703       37,810       950   SH         DEFINED      2                            950
WISDOMTREE TRUST                COM    97717W760       42,602       978   SH         DEFINED      2                            978
WISDOMTREE TRUST                COM    97717W810       18,836       400   SH         DEFINED      2                            400
WISDOMTREE TRUST                COM    97717W844        4,099        96   SH         DEFINED      2                             96
WMS INDUSTRIES INC              COM    929297109    2,152,858   122,391   SH         SOLE         1    122,391
WOLVERINE WORLD WIDE INC        COM    978097103    1,350,881    40,628   SH         SOLE         1     40,628
WOLVERINE WORLD WIDE INC        COM    978097103        4,988       150   SH         DEFINED      3                            150
WOLVERINE WORLD WIDE INC        COM    978097103        2,993        90   SH         DEFINED      2                             90
WOODWARD INC                    COM    980745103    4,787,136   174,713   SH         SOLE         1    174,713
WOODWARD INC                    COM    980745103       34,223     1,249   SH         DEFINED      4                          1,249
WORLD ACCEPTANCE CORP           COM    981419104      689,192    12,318   SH         SOLE         1     12,318
WORLD FUEL SERVICES CORP        COM    981475106    1,894,777    58,033   SH         SOLE         1     58,033
WORLD FUEL SVCS CORP            COM    981475106       62,035     1,900   SH         DEFINED      3                          1,900
WORLD FUEL SVCS CORP            COM    981475106       11,428       350   SH         DEFINED      2                            350
WORLD WRESTLING ENTERTAIN       COM    98156Q108      177,362    19,906   SH         SOLE         1     19,906
WORLD WRESTLING ENTMT INC       COM    98156Q108        2,673       300   SH         DEFINED      3                            300
WORTHINGTON INDS INC            COM    981811102        4,319       309   SH         DEFINED      3                            309
WORTHINGTON INDS INC            COM    981811102        9,779       700   SH         DEFINED      2                            700
WORTHINGTON INDUSTRIES          COM    981811102    2,257,342   161,585   SH         SOLE         1    161,585
WOWJOINT HOLDINGS LIMITED       COM    G9796W101        1,600     2,000   SH         DEFINED      2                          2,000
WPP PLC                         COM    92933H101          691        15   SH         DEFINED      4                             15
WR BERKLEY CORP                 COM    084423102    7,408,783   249,538   SH         SOLE         1    249,538
WR GRACE + CO                   COM    38388F108       37,396     1,123   SH         SOLE         1      1,123
WRIGHT EXPRESS CORP             COM    98233Q105    1,203,586    31,640   SH         SOLE         1     31,640
WRIGHT MEDICAL GROUP INC        COM    98235T107      509,580    28,500   SH         SOLE         1     28,500
WSB HOLDINGS INC                COM    92934C101       27,074    12,033   SH         DEFINED      3                         12,033
WSFS FINANCIAL CORP             COM    929328102      148,063     4,690   SH         SOLE         1      4,690
WW GRAINGER INC                 COM    384802104    3,523,162    23,560   SH         SOLE         1     23,560
WYNDHAM WORLDWIDE CORP          COM    98310W108    1,548,977    54,331   SH         SOLE         1     54,331
WYNDHAM WORLDWIDE CORP          COM    98310W108        3,136       110   SH         DEFINED      4                            110
WYNDHAM WORLDWIDE CORP          COM    98310W108        3,136       110   SH         DEFINED      3                            110
WYNN RESORTS LTD                COM    983134107    3,635,838    31,594   SH         SOLE         1     31,594
WYNN RESORTS LTD                COM    983134107       13,349       116   SH         DEFINED      4                            116






                                       ---------------------------------------------------------------------------------------------
                                                                          13F SECURITIES - 3Q 2011
                                       ---------------------------------------------------------------------------------------------
                                                                                                            VOTING AUTHORITY
                              TITLE OF   CUSIP        ACTUAL    SHARES/  SH/  PUT/  INVESTMENT OTHER  ------------------------------
           ISSUER NAME         CLASS     NUMBER        VALUE   PRINCIPAL PRN  CALL  DISCRETION  MGRS  SOLE (A)   SHARED (B) NONE (C)
----------------------------- -------- ---------   ----------  --------- ---  ----  ---------- -----  --------   ---------- --------
                                                                                           
WYNN RESORTS LTD                COM    983134107      285,398     2,480   SH         DEFINED      3                          2,480
X RITE INC                      COM    983857103       71,873    19,269   SH         SOLE         1     19,269
XCEL ENERGY INC                 COM    98389B100    3,971,115   160,839   SH         SOLE         1    160,839
XCEL ENERGY INC                 COM    98389B100      191,965     7,775   SH         DEFINED      4                          7,775
XCEL ENERGY INC                 COM    98389B100    1,410,614    57,133   SH         DEFINED      3                         57,133
XCEL ENERGY INC                 COM    98389B100       27,530     1,115   SH         DEFINED      2                          1,115
XENOPORT INC                    COM    98411C100      152,362    25,824   SH         SOLE         1     25,824
XERIUM TECHNOLOGIES INC         COM    98416J118       84,168     8,039   SH         SOLE         1      8,039
XEROX CORP                      COM    984121103    4,230,044   606,893   SH         SOLE         1    606,893
XEROX CORP                      COM    984121103        7,667     1,100   SH         DEFINED      4                          1,100
XEROX CORP                      COM    984121103        5,925       850   SH         DEFINED      3                            850
XEROX CORP                      COM    984121103        1,575       226   SH         DEFINED      2                            226
XILINX INC                      COM    983919101    2,869,730   104,582   SH         SOLE         1    104,582
XILINX INC                      COM    983919101       50,325     1,834   SH         DEFINED      3                          1,834
XL GROUP PLC                    COM    G98290102    2,040,420   108,533   SH         SOLE         1    108,533
XL GROUP PLC                    COM    G98290102        1,598        85   SH         DEFINED      3                             85
XO GROUP INC                    COM    983772104      210,484    25,763   SH         SOLE         1     25,763
XYRATEX LTD                     COM    G98268108      209,456    22,595   SH         SOLE         1     22,595
XYRATEX LTD                     COM    G98268108       18,540     2,000   SH         DEFINED      3                          2,000
YADKIN VALLEY FINANCIAL CORP    COM    984314104          863       523   SH         DEFINED      3                            523
YAHOO  INC                      COM    984332106    6,373,033   484,273   SH         SOLE         1    484,273
YAHOO INC                       COM    984332106        4,873       370   SH         DEFINED      4                            370
YAHOO INC                       COM    984332106      153,944    11,689   SH         DEFINED      3                         11,689
YAHOO INC                       COM    984332106       29,237     2,220   SH         DEFINED      2                          2,220
YAMANA GOLD INC                 COM    98462Y100        9,562       700   SH         DEFINED      4                            700
YAMANA GOLD INC                 COM    98462Y100       44,108     3,229   SH         DEFINED      3                          3,229
YAMANA GOLD INC                 COM    98462Y100       43,849     3,210   SH         DEFINED      2                          3,210
YINGLI GREEN ENERGY HLDG CO     COM    98584B103          930       300   SH         DEFINED      4                            300
YINGLI GREEN ENERGY HLDG CO     COM    98584B103        3,100     1,000   SH         DEFINED      2                          1,000
YM BIOSCIENCES INC              COM    984238105          930       500   SH         DEFINED      2                            500
YORK WATER CO                   COM    987184108      150,312     9,290   SH         SOLE         1      9,290
YOUKU COM INC                   COM    98742U100       16,360     1,000   SH         DEFINED      2                          1,000
YOUNG INNOVATIONS INC           COM    987520103      117,534     4,124   SH         SOLE         1      4,124
YPF SOCIEDAD ANONIMA            COM    984245100       10,263       300   SH         DEFINED      3                            300
YPF SOCIEDAD ANONIMA            COM    984245100       17,105       500   SH         DEFINED      2                            500
YRC WORLDWIDE INC               COM    984249300          245     5,000   SH         DEFINED      4                          5,000
YUM  BRANDS INC                 COM    988498101    6,874,841   139,195   SH         SOLE         1    139,195
YUM BRANDS INC                  COM    988498101       99,076     2,006   SH         DEFINED      4                          2,006
YUM BRANDS INC                  COM    988498101      462,056     9,355   SH         DEFINED      3                          9,355
YUM BRANDS INC                  COM    988498101      288,001     5,831   SH         DEFINED      2                          5,831
ZAGG INC                        COM    98884U108   33,956,051 3,422,989   SH         SOLE         1  3,422,989
ZALE CORP                       COM    988858106       73,482    25,783   SH         SOLE         1     25,783
ZALICUS INC                     COM    98887C105       53,260    54,314   SH         SOLE         1     54,314
ZALICUS INC                     COM    98887C105        3,922     4,000   SH         DEFINED      2                          4,000
ZEBRA TECHNOLOGIES CORP CL      COM    989207105    3,633,903   117,450   SH         SOLE         1    117,450
ZEP INC                         COM    98944B108      270,000    17,976   SH         SOLE         1     17,976
ZHONE TECHNOLOGIES INC NEW      COM    98950P884          561       475   SH         DEFINED      3                            475
ZHONGPIN INC                    COM    98952K107        1,520       200   SH         DEFINED      3                            200
ZIMMER HLDGS INC                COM    98956P102       40,591       759   SH         DEFINED      4                            759
ZIMMER HLDGS INC                COM    98956P102       26,419       494   SH         DEFINED      3                            494
ZIMMER HLDGS INC                COM    98956P102       12,193       228   SH         DEFINED      2                            228
ZIMMER HOLDINGS INC             COM    98956P102    3,372,052    63,029   SH         SOLE         1     63,029
ZION OIL & GAS INC              COM    989696109       33,567    17,126   SH         DEFINED      3                         17,126
ZION OIL & GAS INC              COM    989696125        1,951     3,252   SH         DEFINED      3                          3,252
ZION OIL & GAS INC              COM    989696133          891     3,182   SH         DEFINED      3                          3,182
ZION OIL & GAS INC              COM    989696109       12,152     6,200   SH         DEFINED      2                          6,200
ZION OIL & GAS INC              COM    989696125          162       270   SH         DEFINED      2                            270
ZION OIL + GAS INC              COM    989696109       43,479    22,183   SH         SOLE         1     22,183
ZIONS BANCORPORATION            COM    989701107      864,855    61,468   SH         SOLE         1     61,468
ZIOPHARM ONCOLOGY INC           COM    98973P101      188,461    42,735   SH         SOLE         1     42,735
ZIOPHARM ONCOLOGY INC           COM    98973P101       55,125    12,500   SH         DEFINED      4                         12,500
ZIPCAR INC                      COM    98974X103      134,658     7,481   SH         SOLE         1      7,481
ZIPCAR INC                      COM    98974X103        9,900       550   SH         DEFINED      3                            550
ZIX CORP                        COM    98974P100      129,474    48,492   SH         SOLE         1     48,492
ZIX CORP                        COM    98974P100       16,020     6,000   SH         DEFINED      3                          6,000
ZOGENIX INC                     COM    98978L105       14,915     8,150   SH         SOLE         1      8,150
ZOLL MEDICAL CORP               COM    989922109      678,263    17,972   SH         SOLE         1     17,972
ZOLTEK COMPANIES INC            COM    98975W104      130,452    20,288   SH         SOLE         1     20,288
ZOLTEK COS INC                  COM    98975W104        1,608       250   SH         DEFINED      4                            250
ZUMIEZ INC                      COM    989817101      305,462    17,445   SH         SOLE         1     17,445
ZWEIG TOTAL RETURN FD INC       COM    989837109       16,694     5,510   SH         DEFINED      4                          5,510
ZYGO CORP                       COM    989855101      134,235    11,612   SH         SOLE         1     11,612