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

                                   Form 13F

                              Form 13F COVER PAGE

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

Check here if Amendment [_]; Amendment Number:

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

Institutional Investment Manager Filing this Report:

Name:    Knight Capital Group, Inc
Address: 545 Washington Blvd
         Jersey City, N.J. 07310

Form 13F File Number: 28-13543

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

Person Signing this Report on Behalf of Reporting Manager:

Name:    Thomas M. Merritt
Title:   Deputy General Counsel
Phone:   201-557-6949

Signature, Place, and Date of Signing:

Thomas M. Merritt             Jersey City, NJ 07310             2/13/12
------------------   -------------------------------            --------
   [Signature]                   [City, State]                   [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager:

[If there are no entries in this list, omit this section.]

    Form 13F File Number       Name

    28-
    [Repeat as necessary.]



                                   FORM 13F

                                 SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                2

Form 13F Information Table Entry Total:        2756

Form 13F Information Table Value Total:   6,248,003
                                          (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.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

No. Form 13F File Number Name

01. 28-13544             Knight Capital Americas LP
02. 28-13903             Astor Asset Management, LLC

[Repeat as necessary.]



                          FORM 13F INFORMATION TABLE



                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
3M CO                         CALL           88579Y901  7961   97400   SH   CALL DEFINED    1     97400   0     0
3M CO                         PUT            88579Y951 14548  178000   SH   PUT  DEFINED    1    178000   0     0
8X8 INC NEW                   COM            282914100    53   16848   SH        DEFINED    1     16848   0     0
A123 SYS INC                  COM            03739T108   193  119572   SH        DEFINED    1    119572   0     0
AASTROM BIOSCIENCES INC       COMNEW         00253U305    70   38585   SH        DEFINED    1     38585   0     0
ABB LTD                       CALL           000375904   427   22700   SH   CALL DEFINED    1     22700   0     0
ABB LTD                       PUT            000375954   326   17300   SH   PUT  DEFINED    1     17300   0     0
ABBOTT LABS                   COM            002824100   278    4946   SH        DEFINED    1      4946   0     0
ABBOTT LABS                   CALL           002824900  8553  152100   SH   CALL DEFINED    1    152100   0     0
ABBOTT LABS                   PUT            002824950 13872  246700   SH   PUT  DEFINED    1    246700   0     0
ABERCROMBIE & FITCH CO        CALL           002896907  1924   39400   SH   CALL DEFINED    1     39400   0     0
ABERCROMBIE & FITCH CO        PUT            002896957  5118  104800   SH   PUT  DEFINED    1    104800   0     0
ACACIA RESH CORP              ACACIA TCH COM 003881307   353    9677   SH        DEFINED    1      9677   0     0
ACACIA RESH CORP              PUT            003881957   628   17200   SH   PUT  DEFINED    1     17200   0     0
ACADIA PHARMACEUTICALS INC    COM            004225108    31   29257   SH        DEFINED    1     29257   0     0
ACCENTURE PLC IRELAND         SHS CLASS A    G1151C101  1539   28905   SH        DEFINED    1     28905   0     0
ACCENTURE PLC IRELAND         CALL           G1151C901  1256   23600   SH   CALL DEFINED    1     23600   0     0
ACCENTURE PLC IRELAND         PUT            G1151C951  1480   27800   SH   PUT  DEFINED    1     27800   0     0
ACE LTD                       CALL           H0023R905  4137   59000   SH   CALL DEFINED    1     59000   0     0
ACE LTD                       PUT            H0023R955  3653   52100   SH   PUT  DEFINED    1     52100   0     0
ACME PACKET INC               COM            004764106   474   15338   SH        DEFINED    1     15338   0     0
ACME PACKET INC               PUT            004764956  1026   33200   SH   PUT  DEFINED    1     33200   0     0
ACTIVE POWER INC              COM            00504W100    20   30174   SH        DEFINED    1     30174   0     0
ACTIVISION BLIZZARD INC       COM            00507V109   673   54750   SH        DEFINED    1     54750   0     0
ACTIVISION BLIZZARD INC       CALL           00507V909  1239  100600   SH   CALL DEFINED    1    100600   0     0
ACTIVISION BLIZZARD INC       PUT            00507V959   634   51500   SH   PUT  DEFINED    1     51500   0     0
ACURA PHARMACEUTICALS INC     COM NEW        00509L703    39   11344   SH        DEFINED    1     11344   0     0
ADOBE SYS INC                 COM            00724F101  1166   41247   SH        DEFINED    1     41247   0     0
ADOBE SYS INC                 CALL           00724F901  2117   74900   SH   CALL DEFINED    1     74900   0     0
ADOBE SYS INC                 PUT            00724F951  2321   82100   SH   PUT  DEFINED    1     82100   0     0
ADTRAN INC                    COM            00738A106   260    8623   SH        DEFINED    1      8623   0     0
ADTRAN INC                    CALL           00738A906  1369   45400   SH   CALL DEFINED    1     45400   0     0
ADTRAN INC                    PUT            00738A956   591   19600   SH   PUT  DEFINED    1     19600   0     0
ADVANCE AUTO PARTS INC        CALL           00751Y906  1789   25700   SH   CALL DEFINED    1     25700   0     0
ADVANCE AUTO PARTS INC        PUT            00751Y956  2792   40100   SH   PUT  DEFINED    1     40100   0     0
ADVANCED ENERGY INDS          COM            007973100   262   24457   SH        DEFINED    1     24457   0     0
ADVANCED MICRO DEVICES INC    CALL           007903907  1949  361000   SH   CALL DEFINED    1    361000   0     0
ADVANCED MICRO DEVICES INC    PUT            007903957   870  161200   SH   PUT  DEFINED    1    161200   0     0
ADVANCED PHOTONIX INC         CL A           00754E107     7   12415   SH        DEFINED    1     12415   0     0
ADVENTRX PHARMACEUTICALS INC  COM NEW        00764X202    11   19140   SH        DEFINED    1     19140   0     0
ADVISORSHARES TR              CAMBRIA GL TAC 00768Y800   201    8549   SH        DEFINED    1      8549   0     0
ADVISORSHARES TR              ACTIV BEAR ETF 00768Y883   325   12981   SH        DEFINED    1     12981   0     0
ADVISORY BRD CO               COM            00762W107   207    2798   SH        DEFINED    1      2798   0     0
AEROPOSTALE                   CALL           007865908   718   47100   SH   CALL DEFINED    1     47100   0     0
AEROPOSTALE                   PUT            007865958   485   31800   SH   PUT  DEFINED    1     31800   0     0
AES CORP                      CALL           00130H905   296   25000   SH   CALL DEFINED    1     25000   0     0
AES CORP                      PUT            00130H955   684   57800   SH   PUT  DEFINED    1     57800   0     0
AETERNA ZENTARIS INC          COM            007975204    32   21066   SH        DEFINED    1     21066   0     0
AETNA INC NEW                 CALL           00817Y908  1169   27700   SH   CALL DEFINED    1     27700   0     0
AETNA INC NEW                 PUT            00817Y958  2561   60700   SH   PUT  DEFINED    1     60700   0     0
AFFILIATED MANAGERS GROUP     CALL           008252908  1007   10500   SH   CALL DEFINED    1     10500   0     0
AFFILIATED MANAGERS GROUP     PUT            008252958   960   10000   SH   PUT  DEFINED    1     10000   0     0
AFFYMAX INC                   COM            00826A109    78   11801   SH        DEFINED    1     11801   0     0
AFLAC INC                     COM            001055102   317    7338   SH        DEFINED    1      7338   0     0
AFLAC INC                     CALL           001055902  3136   72500   SH   CALL DEFINED    1     72500   0     0
AFLAC INC                     PUT            001055952  5745  132800   SH   PUT  DEFINED    1    132800   0     0
AGFEED INDUSTRIES INC         COM            00846L101    10   24594   SH        DEFINED    1     24594   0     0
AGILENT TECHNOLOGIES INC      CALL           00846U901  1572   45000   SH   CALL DEFINED    1     45000   0     0
AGILENT TECHNOLOGIES INC      PUT            00846U951  2424   69400   SH   PUT  DEFINED    1     69400   0     0
AGL RES INC                   COM            001204106   268    6345   SH        DEFINED    1      6345   0     0
AGNICO EAGLE MINES LTD        CALL           008474908   788   21700   SH   CALL DEFINED    1     21700   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
AGNICO EAGLE MINES LTD        PUT              008474958   214    5900   SH   PUT  DEFINED    1      5900   0     0
AGRIUM INC                    COM              008916108   274    4078   SH        DEFINED    1      4078   0     0
AGRIUM INC                    CALL             008916908   819   12200   SH   CALL DEFINED    1     12200   0     0
AGRIUM INC                    PUT              008916958   738   11000   SH   PUT  DEFINED    1     11000   0     0
AIR PRODS & CHEMS INC         CALL             009158906  1815   21300   SH   CALL DEFINED    1     21300   0     0
AIR PRODS & CHEMS INC         PUT              009158956  1559   18300   SH   PUT  DEFINED    1     18300   0     0
AIRGAS INC                    COM              009363102   403    5160   SH        DEFINED    1      5160   0     0
AIRGAS INC                    CALL             009363902   320    4100   SH   CALL DEFINED    1      4100   0     0
AIXTRON AKTIENGESELLSCHAFT    SPONSORED ADR    009606104   318   25076   SH        DEFINED    1     25076   0     0
AK STL HLDG CORP              COM              001547108   333   40347   SH        DEFINED    1     40347   0     0
AK STL HLDG CORP              CALL             001547908   716   86700   SH   CALL DEFINED    1     86700   0     0
AK STL HLDG CORP              PUT              001547958  1745  211300   SH   PUT  DEFINED    1    211300   0     0
AKAMAI TECHNOLOGIES INC       CALL             00971T901  8344  258500   SH   CALL DEFINED    1    258500   0     0
AKAMAI TECHNOLOGIES INC       PUT              00971T951  5252  162700   SH   PUT  DEFINED    1    162700   0     0
AKORN INC                     COM              009728106   170   15324   SH        DEFINED    1     15324   0     0
ALASKA AIR GROUP INC          CALL             011659909   743    9900   SH   CALL DEFINED    1      9900   0     0
ALASKA AIR GROUP INC          PUT              011659959  1134   15100   SH   PUT  DEFINED    1     15100   0     0
ALASKA COMMUNICATIONS SYS GR  COM              01167P101   354  118554   SH        DEFINED    1    118554   0     0
ALCATEL-LUCENT                SPONSORED ADR    013904305   159  102208   SH        DEFINED    1    102208   0     0
ALCATEL-LUCENT                CALL             013904905    65   41600   SH   CALL DEFINED    1     41600   0     0
ALCATEL-LUCENT                PUT              013904955   108   69000   SH   PUT  DEFINED    1     69000   0     0
ALCOA INC                     COM              013817101  1053  121770   SH        DEFINED    1    121770   0     0
ALCOA INC                     CALL             013817901  3128  361600   SH   CALL DEFINED    1    361600   0     0
ALCOA INC                     PUT              013817951  3037  351100   SH   PUT  DEFINED    1    351100   0     0
ALERE INC                     PERP PFD CONV SE 01449J204   224    1066   SH        DEFINED    1      1066   0     0
ALEXION PHARMACEUTICALS INC   CALL             015351909   586    8200   SH   CALL DEFINED    1      8200   0     0
ALEXZA PHARMACEUTICALS INC    COM              015384100    18   21847   SH        DEFINED    1     21847   0     0
ALIMERA SCIENCES INC          COM              016259103    16   12825   SH        DEFINED    1     12825   0     0
ALKERMES PLC                  SHS              G01767105   521   30019   SH        DEFINED    1     30019   0     0
ALLEGHENY TECHNOLOGIES INC    CALL             01741R902  3547   74200   SH   CALL DEFINED    1     74200   0     0
ALLEGHENY TECHNOLOGIES INC    PUT              01741R952  1797   37600   SH   PUT  DEFINED    1     37600   0     0
ALLEGIANT TRAVEL CO           COM              01748X102   469    8797   SH        DEFINED    1      8797   0     0
ALLERGAN INC                  COM              018490102   537    6115   SH        DEFINED    1      6115   0     0
ALLERGAN INC                  CALL             018490902  2220   25300   SH   CALL DEFINED    1     25300   0     0
ALLERGAN INC                  PUT              018490952  1571   17900   SH   PUT  DEFINED    1     17900   0     0
ALLIANCE DATA SYSTEMS CORP    CALL             018581908  2056   19800   SH   CALL DEFINED    1     19800   0     0
ALLIANCE DATA SYSTEMS CORP    PUT              018581958  4122   39700   SH   PUT  DEFINED    1     39700   0     0
ALLIANCEBERNSTEIN HOLDING LP  UNIT LTD PARTN   01881G106   199   15225   SH        DEFINED    1     15225   0     0
ALLSCRIPT MISYS HEALTCAR SOL  CALL             01988P908   239   12600   SH   CALL DEFINED    1     12600   0     0
ALLSCRIPT MISYS HEALTCAR SOL  PUT              01988P958   235   12400   SH   PUT  DEFINED    1     12400   0     0
ALLSTATE CORP                 CALL             020002901  6030  220000   SH   CALL DEFINED    1    220000   0     0
ALLSTATE CORP                 PUT              020002951  3363  122700   SH   PUT  DEFINED    1    122700   0     0
ALPHA NATURAL RESOURCES INC   CALL             02076X902  2629  128700   SH   CALL DEFINED    1    128700   0     0
ALPHA NATURAL RESOURCES INC   PUT              02076X952  3189  156100   SH   PUT  DEFINED    1    156100   0     0
ALPINE GLOBAL PREMIER PPTYS   COM SBI          02083A103   182   34423   SH        DEFINED    1     34423   0     0
ALPS ETF TR                   JEFF TRJ CRB GLO 00162Q304   277    6521   SH        DEFINED    1      6521   0     0
ALTAIR NANOTECHNOLOGIES INC   COM NEW          021373204    46   69065   SH        DEFINED    1     69065   0     0
ALTERA CORP                   COM              021441100   604   16289   SH        DEFINED    1     16289   0     0
ALTERA CORP                   CALL             021441900  2749   74100   SH   CALL DEFINED    1     74100   0     0
ALTERA CORP                   PUT              021441950  4014  108200   SH   PUT  DEFINED    1    108200   0     0
ALTRIA GROUP INC              COM              02209S103   590   19884   SH        DEFINED    1     19884   0     0
ALTRIA GROUP INC              CALL             02209S903  2108   71100   SH   CALL DEFINED    1     71100   0     0
ALTRIA GROUP INC              PUT              02209S953  8848  298400   SH   PUT  DEFINED    1    298400   0     0
ALVARION LTD                  SHS              M0861T100    12   14046   SH        DEFINED    1     14046   0     0
AMARIN CORP PLC               SPONS ADR NEW    023111206   127   16970   SH        DEFINED    1     16970   0     0
AMAZON COM INC                COM              023135106   771    4451   SH        DEFINED    1      4451   0     0
AMAZON COM INC                CALL             023135906 25878  149500   SH   CALL DEFINED    1    149500   0     0
AMAZON COM INC                PUT              023135956 26848  155100   SH   PUT  DEFINED    1    155100   0     0
AMC NETWORKS INC              CL A             00164V103   230    6110   SH        DEFINED    1      6110   0     0
AMEDISYS INC                  CALL             023436908   235   21500   SH   CALL DEFINED    1     21500   0     0
AMEREN CORP                   COM              023608102   964   29088   SH        DEFINED    1     29088   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
AMERICA MOVIL SAB DE CV       SPON ADR L SHS 02364W105   438   19361   SH        DEFINED    1     19361   0     0
AMERICA MOVIL SAB DE CV       CALL           02364W905   493   21800   SH   CALL DEFINED    1     21800   0     0
AMERICA MOVIL SAB DE CV       PUT            02364W955   341   15100   SH   PUT  DEFINED    1     15100   0     0
AMERICAN APPAREL INC          COM            023850100     9   13022   SH        DEFINED    1     13022   0     0
AMERICAN AXLE & MFG HLDGS IN  CALL           024061903   276   27900   SH   CALL DEFINED    1     27900   0     0
AMERICAN AXLE & MFG HLDGS IN  PUT            024061953   387   39100   SH   PUT  DEFINED    1     39100   0     0
AMERICAN CAP LTD              COM            02503Y103   258   38308   SH        DEFINED    1     38308   0     0
AMERICAN CAP LTD              PUT            02503Y953   243   36100   SH   PUT  DEFINED    1     36100   0     0
AMERICAN CAPITAL AGENCY CORP  CALL           02503X905  4271  152100   SH   CALL DEFINED    1    152100   0     0
AMERICAN CAPITAL AGENCY CORP  PUT            02503X955  1426   50800   SH   PUT  DEFINED    1     50800   0     0
AMERICAN CARESOURCE HLDGS IN  COM            02505A103    19   47055   SH        DEFINED    1     47055   0     0
AMERICAN EAGLE OUTFITTERS NE  CALL           02553E906  2035  133100   SH   CALL DEFINED    1    133100   0     0
AMERICAN EAGLE OUTFITTERS NE  PUT            02553E956  2167  141700   SH   PUT  DEFINED    1    141700   0     0
AMERICAN ELEC PWR INC         CALL           025537901  5300  128300   SH   CALL DEFINED    1    128300   0     0
AMERICAN ELEC PWR INC         PUT            025537951  2929   70900   SH   PUT  DEFINED    1     70900   0     0
AMERICAN EQTY INVT LIFE HLD   COM            025676206   145   13935   SH        DEFINED    1     13935   0     0
AMERICAN EXPRESS CO           COM            025816109   732   15511   SH        DEFINED    1     15511   0     0
AMERICAN EXPRESS CO           CALL           025816909  6736  142800   SH   CALL DEFINED    1    142800   0     0
AMERICAN EXPRESS CO           PUT            025816959 11193  237300   SH   PUT  DEFINED    1    237300   0     0
AMERICAN FINL GROUP INC OHIO  COM            025932104   589   15955   SH        DEFINED    1     15955   0     0
AMERICAN INTL GROUP INC       COM NEW        026874784  1394   60079   SH        DEFINED    1     60079   0     0
AMERICAN INTL GROUP INC       CALL           026874904  3378  145600   SH   CALL DEFINED    1    145600   0     0
AMERICAN INTL GROUP INC       PUT            026874954  2185   94200   SH   PUT  DEFINED    1     94200   0     0
AMERICAN ORIENTAL BIOENGR IN  COM            028731107     7   13280   SH        DEFINED    1     13280   0     0
AMERICAN STRATEGIC INCOME II  COM            03009T101    92   14120   SH        DEFINED    1     14120   0     0
AMERICAN SUPERCONDUCTOR CORP  COM            030111108   200   54314   SH        DEFINED    1     54314   0     0
AMERIPRISE FINL INC           COM            03076C106   503   10143   SH        DEFINED    1     10143   0     0
AMERIPRISE FINL INC           CALL           03076C906   333    6700   SH   CALL DEFINED    1      6700   0     0
AMERIPRISE FINL INC           PUT            03076C956   367    7400   SH   PUT  DEFINED    1      7400   0     0
AMERISOURCEBERGEN CORP        CALL           03073E905  2373   63800   SH   CALL DEFINED    1     63800   0     0
AMERISOURCEBERGEN CORP        PUT            03073E955  1540   41400   SH   PUT  DEFINED    1     41400   0     0
AMERISTAR CASINOS INC         COM            03070Q101   266   15375   SH        DEFINED    1     15375   0     0
AMERITRANS CAP CORP           COM            03073H108     7   60094   SH        DEFINED    1     60094   0     0
AMGEN INC                     COM            031162100  6742  104995   SH        DEFINED    1    104995   0     0
AMGEN INC                     CALL           031162900  9266  144300   SH   CALL DEFINED    1    144300   0     0
AMGEN INC                     PUT            031162950 10010  155900   SH   PUT  DEFINED    1    155900   0     0
AMKOR TECHNOLOGY INC          COM            031652100   339   78036   SH        DEFINED    1     78036   0     0
AMKOR TECHNOLOGY INC          CALL           031652900    68   15500   SH   CALL DEFINED    1     15500   0     0
AMPHENOL CORP NEW             CALL           032095901  1262   27800   SH   CALL DEFINED    1     27800   0     0
AMPHENOL CORP NEW             PUT            032095951   867   19100   SH   PUT  DEFINED    1     19100   0     0
AMYLIN PHARMACEUTICALS INC    COM            032346108   336   29516   SH        DEFINED    1     29516   0     0
ANADARKO PETE CORP            CALL           032511907  5496   72000   SH   CALL DEFINED    1     72000   0     0
ANADARKO PETE CORP            PUT            032511957 10839  142000   SH   PUT  DEFINED    1    142000   0     0
ANADIGICS INC                 COM            032515108    30   13671   SH        DEFINED    1     13671   0     0
ANALOG DEVICES INC            CALL           032654905  3950  110400   SH   CALL DEFINED    1    110400   0     0
ANALOG DEVICES INC            PUT            032654955  1596   44600   SH   PUT  DEFINED    1     44600   0     0
ANCESTRY COM INC              CALL           032803908   248   10800   SH   CALL DEFINED    1     10800   0     0
ANHEUSER BUSCH INBEV SA/NV    CALL           03524A908   238    3900   SH   CALL DEFINED    1      3900   0     0
ANNALY CAP MGMT INC           CALL           035710909  1827  114500   SH   CALL DEFINED    1    114500   0     0
ANNALY CAP MGMT INC           PUT            035710959  3031  189900   SH   PUT  DEFINED    1    189900   0     0
ANSYS INC                     COM            03662Q105   668   11667   SH        DEFINED    1     11667   0     0
AOL INC                       CALL           00184X905   909   60200   SH   CALL DEFINED    1     60200   0     0
AOL INC                       PUT            00184X955   969   64200   SH   PUT  DEFINED    1     64200   0     0
AON CORP                      CALL           037389903  2611   55800   SH   CALL DEFINED    1     55800   0     0
AON CORP                      PUT            037389953  2508   53600   SH   PUT  DEFINED    1     53600   0     0
APACHE CORP                   CALL           037411905  5136   56700   SH   CALL DEFINED    1     56700   0     0
APACHE CORP                   PUT            037411955  2328   25700   SH   PUT  DEFINED    1     25700   0     0
APOLLO GROUP INC              CL A           037604105   776   14405   SH        DEFINED    1     14405   0     0
APOLLO GROUP INC              CALL           037604905  3098   57500   SH   CALL DEFINED    1     57500   0     0
APOLLO GROUP INC              PUT            037604955  4838   89800   SH   PUT  DEFINED    1     89800   0     0
APOLLO INVT CORP              COM            03761U106   245   38119   SH        DEFINED    1     38119   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
APPLE INC                     COM              037833100   202     498   SH        DEFINED    1       498   0     0
APPLE INC                     CALL             037833900 51881  128100   SH   CALL DEFINED    1    128100   0     0
APPLE INC                     PUT              037833950 39245   96900   SH   PUT  DEFINED    1     96900   0     0
APPLIED MATLS INC             COM              038222105   656   61324   SH        DEFINED    1     61324   0     0
APPLIED MATLS INC             CALL             038222905  1185  110600   SH   CALL DEFINED    1    110600   0     0
APPLIED MATLS INC             PUT              038222955   648   60500   SH   PUT  DEFINED    1     60500   0     0
APPLIED MICRO CIRCUITS CORP   COM NEW          03822W406   395   58936   SH        DEFINED    1     58936   0     0
ARCA BIOPHARMA INC            COM              00211Y100    22   21938   SH        DEFINED    1     21938   0     0
ARCELORMITTAL SA LUXEMBOURG   NY REGISTRY SH   03938L104   233   12827   SH        DEFINED    1     12827   0     0
ARCELORMITTAL SA LUXEMBOURG   PUT              03938L954   482   26500   SH   PUT  DEFINED    1     26500   0     0
ARCH CAP GROUP LTD            ORD              G0450A105   809   21737   SH        DEFINED    1     21737   0     0
ARCH COAL INC                 COM              039380100   260   17921   SH        DEFINED    1     17921   0     0
ARCH COAL INC                 CALL             039380900   726   50000   SH   CALL DEFINED    1     50000   0     0
ARCH COAL INC                 PUT              039380950   730   50300   SH   PUT  DEFINED    1     50300   0     0
ARCHER DANIELS MIDLAND CO     COM              039483102   261    9132   SH        DEFINED    1      9132   0     0
ARCHER DANIELS MIDLAND CO     CALL             039483902  2817   98500   SH   CALL DEFINED    1     98500   0     0
ARCHER DANIELS MIDLAND CO     PUT              039483952  2708   94700   SH   PUT  DEFINED    1     94700   0     0
ARENA PHARMACEUTICALS INC     COM              040047102    72   38399   SH        DEFINED    1     38399   0     0
ARES CAP CORP                 COM              04010L103   315   20375   SH        DEFINED    1     20375   0     0
ARES CAP CORP                 CALL             04010L903  1075   69600   SH   CALL DEFINED    1     69600   0     0
ARES CAP CORP                 PUT              04010L953   667   43200   SH   PUT  DEFINED    1     43200   0     0
ARIAD PHARMACEUTICALS INC     COM              04033A100   241   19690   SH        DEFINED    1     19690   0     0
ARIBA INC                     COM NEW          04033V203   622   22162   SH        DEFINED    1     22162   0     0
ARM HLDGS PLC                 SPONSORED ADR    042068106   211    7627   SH        DEFINED    1      7627   0     0
ARM HLDGS PLC                 CALL             042068906  3041  109900   SH   CALL DEFINED    1    109900   0     0
ARM HLDGS PLC                 PUT              042068956  5982  216200   SH   PUT  DEFINED    1    216200   0     0
ARMOUR RESIDENTIAL REIT INC   *W EXP 11/07/201 042315119     0   33000   SH        DEFINED    1     33000   0     0
ARUBA NETWORKS INC            CALL             043176906  1563   84400   SH   CALL DEFINED    1     84400   0     0
ARUBA NETWORKS INC            PUT              043176956  2628  141900   SH   PUT  DEFINED    1    141900   0     0
ASCENA RETAIL GROUP INC       COM              04351G101   382   12869   SH        DEFINED    1     12869   0     0
ASCENA RETAIL GROUP INC       CALL             04351G901   425   14300   SH   CALL DEFINED    1     14300   0     0
ASCENA RETAIL GROUP INC       PUT              04351G951  1103   37100   SH   PUT  DEFINED    1     37100   0     0
ASCENT SOLAR TECHNOLOGIES IN  COM              043635101    10   25403   SH        DEFINED    1     25403   0     0
ASHLAND INC NEW               COM              044209104   273    4782   SH        DEFINED    1      4782   0     0
ASHLAND INC NEW               CALL             044209904  1669   29200   SH   CALL DEFINED    1     29200   0     0
ASHLAND INC NEW               PUT              044209954   720   12600   SH   PUT  DEFINED    1     12600   0     0
ASIAINFO HLDGS INC            COM              04518A104   199   25855   SH        DEFINED    1     25855   0     0
ASML HOLDING N V              NY REG SHS       N07059186   545   13032   SH        DEFINED    1     13032   0     0
ASML HOLDING N V              PUT              N07059956   301    7200   SH   PUT  DEFINED    1      7200   0     0
ASSURED GUARANTY LTD          CALL             G0585R906   138   10500   SH   CALL DEFINED    1     10500   0     0
ASSURED GUARANTY LTD          PUT              G0585R956   139   10600   SH   PUT  DEFINED    1     10600   0     0
ASTORIA FINL CORP             COM              046265104    89   10507   SH        DEFINED    1     10507   0     0
ASTRAZENECA PLC               CALL             046353908   231    5000   SH   CALL DEFINED    1      5000   0     0
ASTRAZENECA PLC               PUT              046353958   407    8800   SH   PUT  DEFINED    1      8800   0     0
AT&T INC                      COM              00206R102   440   14545   SH        DEFINED    1     14545   0     0
AT&T INC                      CALL             00206R902 14836  490600   SH   CALL DEFINED    1    490600   0     0
AT&T INC                      PUT              00206R952 21779  720200   SH   PUT  DEFINED    1    720200   0     0
ATHENAHEALTH INC              COM              04685W103   232    4721   SH        DEFINED    1      4721   0     0
ATLAS ENERGY LP               CALL             04930A904   343   14100   SH   CALL DEFINED    1     14100   0     0
ATLAS PIPELINE PARTNERS LP    CALL             049392903   565   15200   SH   CALL DEFINED    1     15200   0     0
ATLAS PIPELINE PARTNERS LP    PUT              049392953   736   19800   SH   PUT  DEFINED    1     19800   0     0
ATMOS ENERGY CORP             COM              049560105   337   10109   SH        DEFINED    1     10109   0     0
ATP OIL & GAS CORP            COM              00208J108   111   15143   SH        DEFINED    1     15143   0     0
ATRION CORP                   COM              049904105   224     932   SH        DEFINED    1       932   0     0
AUTODESK INC                  COM              052769106   404   13317   SH        DEFINED    1     13317   0     0
AUTODESK INC                  CALL             052769906   804   26500   SH   CALL DEFINED    1     26500   0     0
AUTODESK INC                  PUT              052769956  1371   45200   SH   PUT  DEFINED    1     45200   0     0
AUTOLIV INC                   COM              052800109   342    6388   SH        DEFINED    1      6388   0     0
AUTOMATIC DATA PROCESSING IN  COM              053015103   552   10230   SH        DEFINED    1     10230   0     0
AUTOMATIC DATA PROCESSING IN  CALL             053015903  2787   51600   SH   CALL DEFINED    1     51600   0     0
AUTOMATIC DATA PROCESSING IN  PUT              053015953  6011  111300   SH   PUT  DEFINED    1    111300   0     0






                                  ISSUER                   VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION        CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE   SHARED NONE
-----------                   -----------        --------- ----- -------- ----- ---- ------- ------- ------- ------ ----
                                                                                   
AUTOZONE INC                    COM              053332102   359    1105   SH        DEFINED    1       1105   0     0
AUTOZONE INC                    CALL             053332902  1040    3200   SH   CALL DEFINED    1       3200   0     0
AUTOZONE INC                    PUT              053332952  2405    7400   SH   PUT  DEFINED    1       7400   0     0
AUXILIUM PHARMACEUTICALS INC    COM              05334D107   283   14220   SH        DEFINED    1      14220   0     0
AVALON RARE METALS INC          COM              053470100    30   12609   SH        DEFINED    1      12609   0     0
AVALONBAY CMNTYS INC            CALL             053484901  5681   43500   SH   CALL DEFINED    1      43500   0     0
AVALONBAY CMNTYS INC            PUT              053484951  7588   58100   SH   PUT  DEFINED    1      58100   0     0
AVANIR PHARMACEUTICALS INC      CL A NEW         05348P401   142   69682   SH        DEFINED    1      69682   0     0
AVI BIOPHARMA INC               COM              002346104    37   49206   SH        DEFINED    1      49206   0     0
AVIAT NETWORKS INC              COM              05366Y102    21   11338   SH        DEFINED    1      11338   0     0
AVIS BUDGET GROUP               COM              053774105   121   11335   SH        DEFINED    1      11335   0     0
AVIS BUDGET GROUP               CALL             053774905   360   33600   SH   CALL DEFINED    1      33600   0     0
AVIS BUDGET GROUP               PUT              053774955   137   12800   SH   PUT  DEFINED    1      12800   0     0
AVON PRODS INC                  CALL             054303902  2849  163100   SH   CALL DEFINED    1     163100   0     0
AVON PRODS INC                  PUT              054303952   978   56000   SH   PUT  DEFINED    1      56000   0     0
BACTERIN INTL HLDGS INC         COM              05644R101    70   24622   SH        DEFINED    1      24622   0     0
BAIDU INC                       SPON ADR REP A   056752108  3366   28908   SH        DEFINED    1      28908   0     0
BAIDU INC                       CALL             056752908 11729  100700   SH   CALL DEFINED    1     100700   0     0
BAIDU INC                       PUT              056752958 25868  222100   SH   PUT  DEFINED    1     222100   0     0
BAKER HUGHES INC                COM              057224107   429    8827   SH        DEFINED    1       8827   0     0
BAKER HUGHES INC                CALL             057224907  2831   58200   SH   CALL DEFINED    1      58200   0     0
BAKER HUGHES INC                PUT              057224957  5788  119000   SH   PUT  DEFINED    1     119000   0     0
BALLY TECHNOLOGIES INC          PUT              05874B957   380    9600   SH   PUT  DEFINED    1       9600   0     0
BANCO BILBAO VIZCAYA
 ARGENTA                        SPONSORED ADR    05946K101   138   16085   SH        DEFINED    1      16085   0     0
BANCO BRADESCO S A              SP ADR PFD NEW   059460303   261   15655   SH        DEFINED    1      15655   0     0
BANCO BRADESCO S A              CALL             059460903   324   19400   SH   CALL DEFINED    1      19400   0     0
BANCO BRADESCO S A              PUT              059460953  1758  105400   SH   PUT  DEFINED    1     105400   0     0
BANCO SANTANDER BRASIL S A      CALL             05967A907   100   12300   SH   CALL DEFINED    1      12300   0     0
BANCOLOMBIA S A                 SPON ADR PREF    05968L102   372    6251   SH        DEFINED    1       6251   0     0
BANK MONTREAL QUE               COM              063671101   930   16968   SH        DEFINED    1      16968   0     0
BANK MONTREAL QUE               CALL             063671901  1343   24500   SH   CALL DEFINED    1      24500   0     0
BANK MONTREAL QUE               PUT              063671951  2094   38200   SH   PUT  DEFINED    1      38200   0     0
BANK OF AMERICA CORPORATION     COM              060505104    56   10009   SH        DEFINED    1      10009   0     0
BANK OF AMERICA CORPORATION     *W EXP 10/28/201 060505153    26   90576   SH        DEFINED    1      90576   0     0
BANK OF AMERICA CORPORATION     7.25%CNV PFD L   060505682   213     270   SH        DEFINED    1        270   0     0
BANK OF AMERICA CORPORATION     CALL             060505904 11583 2083200   SH   CALL DEFINED    1    2083200   0     0
BANK OF AMERICA CORPORATION     PUT              060505954  8460 1521500   SH   PUT  DEFINED    1    1521500   0     0
BANK OF NEW YORK MELLON
 CORP                           CALL             064058900  1611   80900   SH   CALL DEFINED    1      80900   0     0
BANK OF NEW YORK MELLON
 CORP                           PUT              064058950  4277  214800   SH   PUT  DEFINED    1     214800   0     0
BARCLAYS BANK PLC               ETN DJUBS PMET38 06739H248   321    3811   SH        DEFINED    1       3811   0     0
BARCLAYS BANK PLC               ETN DJUBSLVSTK37 06739H743   200    6729   SH        DEFINED    1       6729   0     0
BARCLAYS BK PLC                 IPTH S&P VIX NEW 06740C261   729   20508   SH        DEFINED    1      20508   0     0
BARCLAYS PLC                    ADR              06738E204   181   16496   SH        DEFINED    1      16496   0     0
BARCLAYS PLC                    CALL             06738E904   328   29800   SH   CALL DEFINED    1      29800   0     0
BARCLAYS PLC                    PUT              06738E954   118   10700   SH   PUT  DEFINED    1      10700   0     0
BARD C R INC                    COM              067383109   210    2456   SH        DEFINED    1       2456   0     0
BARNES & NOBLE INC              CALL             067774909   184   12700   SH   CALL DEFINED    1      12700   0     0
BARNES & NOBLE INC              PUT              067774959   285   19700   SH   PUT  DEFINED    1      19700   0     0
BARRICK GOLD CORP               COM              067901108   839   18535   SH        DEFINED    1      18535   0     0
BARRICK GOLD CORP               CALL             067901908 11480  253700   SH   CALL DEFINED    1     253700   0     0
BARRICK GOLD CORP               PUT              067901958 12389  273800   SH   PUT  DEFINED    1     273800   0     0
BAXTER INTL INC                 COM              071813109   296    5989   SH        DEFINED    1       5989   0     0
BAXTER INTL INC                 CALL             071813909  3167   64000   SH   CALL DEFINED    1      64000   0     0
BAXTER INTL INC                 PUT              071813959  5448  110100   SH   PUT  DEFINED    1     110100   0     0
BB&T CORP                       CALL             054937907  2663  105800   SH   CALL DEFINED    1     105800   0     0
BB&T CORP                       PUT              054937957  2064   82000   SH   PUT  DEFINED    1      82000   0     0
BEAM INC                        CALL             073730903  1501   29300   SH   CALL DEFINED    1      29300   0     0
BEAM INC                        PUT              073730953   558   10900   SH   PUT  DEFINED    1      10900   0     0
BECTON DICKINSON & CO           CALL             075887909  1158   15500   SH   CALL DEFINED    1      15500   0     0
BECTON DICKINSON & CO           PUT              075887959  1890   25300   SH   PUT  DEFINED    1      25300   0     0
BED BATH & BEYOND INC           COM              075896100   414    7138   SH        DEFINED    1       7138   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
BED BATH & BEYOND INC         CALL           075896900  2400   41400   SH   CALL DEFINED    1     41400   0     0
BED BATH & BEYOND INC         PUT            075896950  2226   38400   SH   PUT  DEFINED    1     38400   0     0
BERKSHIRE HATHAWAY INC        DEL CL B NEW   084670702  1223   16027   SH        DEFINED    1     16027   0     0
BERKSHIRE HATHAWAY INC DEL    CL A           084670108 28344     247   SH        DEFINED    1       247   0     0
BEST BUY INC                  CALL           086516901  4319  184800   SH   CALL DEFINED    1    184800   0     0
BEST BUY INC                  PUT            086516951  3957  169300   SH   PUT  DEFINED    1    169300   0     0
BHP BILLITON LTD              CALL           088606908  6018   85200   SH   CALL DEFINED    1     85200   0     0
BHP BILLITON LTD              PUT            088606958  4718   66800   SH   PUT  DEFINED    1     66800   0     0
BIDZ COM INC                  COM            08883T200    13   27807   SH        DEFINED    1     27807   0     0
BIOANALYTICAL SYS INC         COM            09058M103    21   16000   SH        DEFINED    1     16000   0     0
BIOCRYST PHARMACEUTICALS      COM            09058V103    32   12930   SH        DEFINED    1     12930   0     0
BIODEL INC                    COM            09064M105    22   37597   SH        DEFINED    1     37597   0     0
BIODELIVERY SCIENCES INTL IN  COM            09060J106    52   64842   SH        DEFINED    1     64842   0     0
BIOFUEL ENERGY CORP           COM            09064Y109    20   29091   SH        DEFINED    1     29091   0     0
BIOGEN IDEC INC               COM            09062X103  2096   19050   SH        DEFINED    1     19050   0     0
BIOGEN IDEC INC               CALL           09062X903  5987   54400   SH   CALL DEFINED    1     54400   0     0
BIOGEN IDEC INC               PUT            09062X953  7054   64100   SH   PUT  DEFINED    1     64100   0     0
BIOLASE TECHNOLOGY INC        COM            090911108    40   15491   SH        DEFINED    1     15491   0     0
BIOMARIN PHARMACEUTICAL INC   COM            09061G101   528   15375   SH        DEFINED    1     15375   0     0
BIONOVO INC                   COM NEW        090643206     9   37600   SH        DEFINED    1     37600   0     0
BIOSANTE PHARMACEUTICALS INC  COM NEW        09065V203    61  121064   SH        DEFINED    1    121064   0     0
BITSTREAM INC                 CL A           091736108   123   21607   SH        DEFINED    1     21607   0     0
BJS RESTAURANTS INC           COM            09180C106   258    5694   SH        DEFINED    1      5694   0     0
BLACK HILLS CORP              COM            092113109   203    6050   SH        DEFINED    1      6050   0     0
BLACKROCK BUILD AMER BD TR    SHS            09248X100   215   10067   SH        DEFINED    1     10067   0     0
BLACKROCK DIVID ACHIEVRS TM   COM            09250N107   108   11912   SH        DEFINED    1     11912   0     0
BLACKROCK INC                 CALL           09247X901  2870   16100   SH   CALL DEFINED    1     16100   0     0
BLACKROCK INC                 PUT            09247X951  5686   31900   SH   PUT  DEFINED    1     31900   0     0
BLACKROCK MUNIHLDGS INSD FDI  COM            09254C107   153   10732   SH        DEFINED    1     10732   0     0
BLACKSTONE GROUP L P          COM UNIT LTD   09253U108   168   12004   SH        DEFINED    1     12004   0     0
BLACKSTONE GROUP L P          CALL           09253U908  1535  109600   SH   CALL DEFINED    1    109600   0     0
BLACKSTONE GROUP L P          PUT            09253U958   570   40700   SH   PUT  DEFINED    1     40700   0     0
BLOCK H & R INC               CALL           093671905   846   51800   SH   CALL DEFINED    1     51800   0     0
BLOCK H & R INC               PUT            093671955  1808  110700   SH   PUT  DEFINED    1    110700   0     0
BLUE COAT SYSTEMS INC         COM NEW        09534T508  1377   54118   SH        DEFINED    1     54118   0     0
BLUE COAT SYSTEMS INC         CALL           09534T908   611   24000   SH   CALL DEFINED    1     24000   0     0
BLUE COAT SYSTEMS INC         PUT            09534T958   644   25300   SH   PUT  DEFINED    1     25300   0     0
BLUE NILE INC                 COM            09578R103   244    5972   SH        DEFINED    1      5972   0     0
BMC SOFTWARE INC              COM            055921100   752   22940   SH        DEFINED    1     22940   0     0
BOEING CO                     COM            097023105   286    3905   SH        DEFINED    1      3905   0     0
BOEING CO                     CALL           097023905 11487  156600   SH   CALL DEFINED    1    156600   0     0
BOEING CO                     PUT            097023955 15066  205400   SH   PUT  DEFINED    1    205400   0     0
BONSO ELECTRS INTL INC        COM PAR $0.003 098529308    19   17044   SH        DEFINED    1     17044   0     0
BORGWARNER INC                COM            099724106   662   10379   SH        DEFINED    1     10379   0     0
BOSTON PRIVATE FINL HLDGS IN  COM            101119105   151   19068   SH        DEFINED    1     19068   0     0
BOSTON PROPERTIES INC         CALL           101121901  1036   10400   SH   CALL DEFINED    1     10400   0     0
BOSTON PROPERTIES INC         PUT            101121951  2440   24500   SH   PUT  DEFINED    1     24500   0     0
BOSTON SCIENTIFIC CORP        CALL           101137907   231   43200   SH   CALL DEFINED    1     43200   0     0
BOSTON SCIENTIFIC CORP        PUT            101137957   166   31100   SH   PUT  DEFINED    1     31100   0     0
BOYD GAMING CORP              COM            103304101    76   10243   SH        DEFINED    1     10243   0     0
BOYD GAMING CORP              CALL           103304901   270   36200   SH   CALL DEFINED    1     36200   0     0
BOYD GAMING CORP              PUT            103304951    86   11500   SH   PUT  DEFINED    1     11500   0     0
BP PLC                        CALL           055622904 19314  451900   SH   CALL DEFINED    1    451900   0     0
BP PLC                        PUT            055622954 15309  358200   SH   PUT  DEFINED    1    358200   0     0
BP PRUDHOE BAY RTY TR         UNIT BEN INT   055630107   247    2170   SH        DEFINED    1      2170   0     0
BRANDYWINE RLTY TR            SH BEN INT NEW 105368203   117   12306   SH        DEFINED    1     12306   0     0
BRF-BRASIL FOODS S A          SPONSORED ADR  10552T107   265   13564   SH        DEFINED    1     13564   0     0
BRIGUS GOLD CORP              COM            109490102    28   28736   SH        DEFINED    1     28736   0     0
BRINKER INTL INC              CALL           109641900   300   11200   SH   CALL DEFINED    1     11200   0     0
BRISTOL MYERS SQUIBB CO       CALL           110122908  6452  183100   SH   CALL DEFINED    1    183100   0     0
BRISTOL MYERS SQUIBB CO       PUT            110122958 10731  304500   SH   PUT  DEFINED    1    304500   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
BROADCOM CORP                 CL A           111320107 1970    67121   SH        DEFINED    1     67121   0     0
BROADCOM CORP                 CALL           111320907 4430   150900   SH   CALL DEFINED    1    150900   0     0
BROADCOM CORP                 PUT            111320957 5414   184400   SH   PUT  DEFINED    1    184400   0     0
BROADWIND ENERGY INC          COM            11161T108   10    14442   SH        DEFINED    1     14442   0     0
BROCADE COMMUNICATIONS SYS I  COM NEW        111621306  758   146388   SH        DEFINED    1    146388   0     0
BROCADE COMMUNICATIONS SYS I  CALL           111621906  457    88100   SH   CALL DEFINED    1     88100   0     0
BROCADE COMMUNICATIONS SYS I  PUT            111621956  340    65500   SH   PUT  DEFINED    1     65500   0     0
BROOKLINE BANCORP INC DEL     COM            11373M107  125    14821   SH        DEFINED    1     14821   0     0
BRUNSWICK CORP                CALL           117043909  224    12400   SH   CALL DEFINED    1     12400   0     0
BRUNSWICK CORP                PUT            117043959  553    30600   SH   PUT  DEFINED    1     30600   0     0
BUFFALO WILD WINGS INC        COM            119848109  660     9775   SH        DEFINED    1      9775   0     0
BUFFALO WILD WINGS INC        CALL           119848909 2403    35600   SH   CALL DEFINED    1     35600   0     0
BUFFALO WILD WINGS INC        PUT            119848959 2032    30100   SH   PUT  DEFINED    1     30100   0     0
BUNGE LIMITED                 CALL           G16962905 2809    49100   SH   CALL DEFINED    1     49100   0     0
BUNGE LIMITED                 PUT            G16962955 3020    52800   SH   PUT  DEFINED    1     52800   0     0
C H ROBINSON WORLDWIDE INC    COM NEW        12541W209 3219    46133   SH        DEFINED    1     46133   0     0
C H ROBINSON WORLDWIDE INC    CALL           12541W909 3894    55800   SH   CALL DEFINED    1     55800   0     0
C H ROBINSON WORLDWIDE INC    PUT            12541W959 4473    64100   SH   PUT  DEFINED    1     64100   0     0
CA INC                        COM            12673P105  255    12596   SH        DEFINED    1     12596   0     0
CA INC                        CALL           12673P905  550    27200   SH   CALL DEFINED    1     27200   0     0
CA INC                        PUT            12673P955  404    20000   SH   PUT  DEFINED    1     20000   0     0
CABLEVISION SYS CORP          CALL           12686C909  437    30700   SH   CALL DEFINED    1     30700   0     0
CABLEVISION SYS CORP          PUT            12686C959 1032    72600   SH   PUT  DEFINED    1     72600   0     0
CABOT MICROELECTRONICS CORP   COM            12709P103  264     5593   SH        DEFINED    1      5593   0     0
CABOT OIL & GAS CORP          COM            127097103  753     9916   SH        DEFINED    1      9916   0     0
CABOT OIL & GAS CORP          CALL           127097903 5245    69100   SH   CALL DEFINED    1     69100   0     0
CABOT OIL & GAS CORP          PUT            127097953 3476    45800   SH   PUT  DEFINED    1     45800   0     0
CALAMOS CONV & HIGH INCOME F  COM SHS        12811P108  170    14715   SH        DEFINED    1     14715   0     0
CALAMOS CONV OPP AND INC FD   SH BEN INT     128117108  263    23360   SH        DEFINED    1     23360   0     0
CALAMOS GBL DYN INCOME FUND   COM            12811L107  161    22106   SH        DEFINED    1     22106   0     0
CALAMOS STRATEGIC TOTL RETN   COM SH BEN INT 128125101  185    22103   SH        DEFINED    1     22103   0     0
CALPINE CORP                  CALL           131347904  963    59000   SH   CALL DEFINED    1     59000   0     0
CALPINE CORP                  PUT            131347954  367    22500   SH   PUT  DEFINED    1     22500   0     0
CAMAC ENERGY INC              COM            131745101   17    16565   SH        DEFINED    1     16565   0     0
CAMECO CORP                   CALL           13321L908  513    28400   SH   CALL DEFINED    1     28400   0     0
CAMERON INTERNATIONAL CORP    COM            13342B105  322     6551   SH        DEFINED    1      6551   0     0
CAMERON INTERNATIONAL CORP    CALL           13342B905 2991    60800   SH   CALL DEFINED    1     60800   0     0
CAMERON INTERNATIONAL CORP    PUT            13342B955 3778    76800   SH   PUT  DEFINED    1     76800   0     0
CAMPBELL SOUP CO              CALL           134429909  858    25800   SH   CALL DEFINED    1     25800   0     0
CAMPBELL SOUP CO              PUT            134429959 1815    54600   SH   PUT  DEFINED    1     54600   0     0
CANADIAN NAT RES LTD          CALL           136385901 1129    30200   SH   CALL DEFINED    1     30200   0     0
CANADIAN NAT RES LTD          PUT            136385951  523    14000   SH   PUT  DEFINED    1     14000   0     0
CANADIAN SOLAR INC            COM            136635109   32    12005   SH        DEFINED    1     12005   0     0
CAPITAL ONE FINL CORP         COM            14040H105  576    13609   SH        DEFINED    1     13609   0     0
CAPITAL ONE FINL CORP         CALL           14040H905 6107   144400   SH   CALL DEFINED    1    144400   0     0
CAPITAL ONE FINL CORP         PUT            14040H955 5790   136900   SH   PUT  DEFINED    1    136900   0     0
CAPITAL PRODUCT PARTNERS L P  COM UNIT LP    Y11082107   70    11395   SH        DEFINED    1     11395   0     0
CAPITAL TRUST INC MD          CL A NEW       14052H506   23    10200   SH        DEFINED    1     10200   0     0
CAPITALSOURCE INC             CALL           14055X902  154    23000   SH   CALL DEFINED    1     23000   0     0
CAPSTEAD MTG CORP             COM NO PAR     14067E506  216    17362   SH        DEFINED    1     17362   0     0
CAPSTONE TURBINE CORP         COM            14067D102  126   109812   SH        DEFINED    1    109812   0     0
CARBO CERAMICS INC            COM            140781105  969     7858   SH        DEFINED    1      7858   0     0
CARDICA INC                   COM            14141R101   21    10037   SH        DEFINED    1     10037   0     0
CARDINAL HEALTH INC           COM            14149Y108  206     5071   SH        DEFINED    1      5071   0     0
CARDINAL HEALTH INC           CALL           14149Y908 2985    73500   SH   CALL DEFINED    1     73500   0     0
CARDINAL HEALTH INC           PUT            14149Y958 1811    44600   SH   PUT  DEFINED    1     44600   0     0
CAREER EDUCATION CORP         COM            141665109  409    51291   SH        DEFINED    1     51291   0     0
CAREER EDUCATION CORP         CALL           141665909  116    14600   SH   CALL DEFINED    1     14600   0     0
CAREER EDUCATION CORP         PUT            141665959  294    36900   SH   PUT  DEFINED    1     36900   0     0
CAREFUSION CORP               PUT            14170T951  264    10400   SH   PUT  DEFINED    1     10400   0     0
CARMAX INC                    COM            143130102  262     8581   SH        DEFINED    1      8581   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
CARMAX INC                    CALL           143130902   991   32500   SH   CALL DEFINED    1     32500   0     0
CARMAX INC                    PUT            143130952  2978   97700   SH   PUT  DEFINED    1     97700   0     0
CARNIVAL CORP                 CALL           143658900  2595   79500   SH   CALL DEFINED    1     79500   0     0
CARNIVAL CORP                 PUT            143658950 11378  348600   SH   PUT  DEFINED    1    348600   0     0
CARRIZO OIL & CO INC          COM            144577103   393   14903   SH        DEFINED    1     14903   0     0
CARRIZO OIL & CO INC          CALL           144577903   213    8100   SH   CALL DEFINED    1      8100   0     0
CASTLE A M & CO               COM            148411101   149   15752   SH        DEFINED    1     15752   0     0
CATERPILLAR INC DEL           CALL           149123901 26084  287900   SH   CALL DEFINED    1    287900   0     0
CATERPILLAR INC DEL           PUT            149123951 28403  313500   SH   PUT  DEFINED    1    313500   0     0
CAVIUM INC                    CALL           14964U908  1635   57500   SH   CALL DEFINED    1     57500   0     0
CAVIUM INC                    PUT            14964U958   987   34700   SH   PUT  DEFINED    1     34700   0     0
CBL & ASSOC PPTYS INC         COM            124830100   179   11393   SH        DEFINED    1     11393   0     0
CBRE CLARION GLOBAL REAL EST  COM            12504G100   264   38630   SH        DEFINED    1     38630   0     0
CBRE GROUP INC                CALL           12504L909   371   24400   SH   CALL DEFINED    1     24400   0     0
CBRE GROUP INC                PUT            12504L959  1942  127600   SH   PUT  DEFINED    1    127600   0     0
CBS CORP NEW                  CL B           124857202   268    9891   SH        DEFINED    1      9891   0     0
CBS CORP NEW                  CALL           124857902  3306  121800   SH   CALL DEFINED    1    121800   0     0
CBS CORP NEW                  PUT            124857952  5015  184800   SH   PUT  DEFINED    1    184800   0     0
CEDAR FAIR L P                DEPOSITRY UNIT 150185106   273   12716   SH        DEFINED    1     12716   0     0
CELANESE CORP DEL             CALL           150870903  1217   27500   SH   CALL DEFINED    1     27500   0     0
CELANESE CORP DEL             PUT            150870953   443   10000   SH   PUT  DEFINED    1     10000   0     0
CELGENE CORP                  COM            151020104  1595   23595   SH        DEFINED    1     23595   0     0
CELGENE CORP                  CALL           151020904  4083   60400   SH   CALL DEFINED    1     60400   0     0
CELGENE CORP                  PUT            151020954  6125   90600   SH   PUT  DEFINED    1     90600   0     0
CEL-SCI CORP                  COM NEW        150837409    16   53696   SH        DEFINED    1     53696   0     0
CELSION CORPORATION           COM NEW        15117N305    37   21937   SH        DEFINED    1     21937   0     0
CEMEX SAB DE CV               CALL           151290909   234   43400   SH   CALL DEFINED    1     43400   0     0
CEMEX SAB DE CV               PUT            151290959   524   97200   SH   PUT  DEFINED    1     97200   0     0
CENTERPOINT ENERGY INC        CALL           15189T907   231   11500   SH   CALL DEFINED    1     11500   0     0
CENTRAL EUROPEAN DIST CORP    COM            153435102   271   61985   SH        DEFINED    1     61985   0     0
CENTRAL EUROPEAN MEDIA ENTRP  CL A NEW       G20045202    86   13180   SH        DEFINED    1     13180   0     0
CENTRAL VA BANKSHARES INC     COM            155792104     5   13523   SH        DEFINED    1     13523   0     0
CENTURY ALUM CO               COM            156431108   390   45812   SH        DEFINED    1     45812   0     0
CENTURY ALUM CO               CALL           156431908   166   19500   SH   CALL DEFINED    1     19500   0     0
CENTURY ALUM CO               PUT            156431958   134   15800   SH   PUT  DEFINED    1     15800   0     0
CENTURYTEL INC                CALL           156700906  5777  155300   SH   CALL DEFINED    1    155300   0     0
CENTURYTEL INC                PUT            156700956  9255  248800   SH   PUT  DEFINED    1    248800   0     0
CERNER CORP                   COM            156782104  1805   29462   SH        DEFINED    1     29462   0     0
CERNER CORP                   CALL           156782904  4104   67000   SH   CALL DEFINED    1     67000   0     0
CERNER CORP                   PUT            156782954  3375   55100   SH   PUT  DEFINED    1     55100   0     0
CF INDS HLDGS INC             CALL           125269900  7553   52100   SH   CALL DEFINED    1     52100   0     0
CF INDS HLDGS INC             PUT            125269950 11946   82400   SH   PUT  DEFINED    1     82400   0     0
CHARMING SHOPPES INC          COM            161133103   144   29493   SH        DEFINED    1     29493   0     0
CHART INDS INC                COM PAR $0.01  16115Q308   303    5616   SH        DEFINED    1      5616   0     0
CHARTER COMMUNICATIONS INC    D CL A NEW     16117M305   578   10155   SH        DEFINED    1     10155   0     0
CHECK POINT SOFTWARE TECH LT  ORD            M22465104   397    7565   SH        DEFINED    1      7565   0     0
CHECK POINT SOFTWARE TECH LT  CALL           M22465904   284    5400   SH   CALL DEFINED    1      5400   0     0
CHECK POINT SOFTWARE TECH LT  PUT            M22465954   294    5600   SH   PUT  DEFINED    1      5600   0     0
CHEESECAKE FACTORY INC        COM            163072101   225    7650   SH        DEFINED    1      7650   0     0
CHEESECAKE FACTORY INC        CALL           163072901  1297   44200   SH   CALL DEFINED    1     44200   0     0
CHEESECAKE FACTORY INC        PUT            163072951  1139   38800   SH   PUT  DEFINED    1     38800   0     0
CHELSEA THERAPEUTICS INTL LT  COM            163428105    58   11289   SH        DEFINED    1     11289   0     0
CHENIERE ENERGY INC           COM NEW        16411R208   189   21781   SH        DEFINED    1     21781   0     0
CHESAPEAKE ENERGY CORP        COM            165167107  2223   99711   SH        DEFINED    1     99711   0     0
CHESAPEAKE ENERGY CORP        CALL           165167907 14049  630300   SH   CALL DEFINED    1    630300   0     0
CHESAPEAKE ENERGY CORP        PUT            165167957  8588  385300   SH   PUT  DEFINED    1    385300   0     0
CHEVRON CORP NEW              COM            166764100  1271   11946   SH        DEFINED    1     11946   0     0
CHEVRON CORP NEW              CALL           166764900 10459   98300   SH   CALL DEFINED    1     98300   0     0
CHEVRON CORP NEW              PUT            166764950 12821  120500   SH   PUT  DEFINED    1    120500   0     0
CHICAGO BRIDGE & IRON CO N V  CALL           167250909   423   11200   SH   CALL DEFINED    1     11200   0     0
CHICAGO BRIDGE & IRON CO N V  PUT            167250959   382   10100   SH    PUT DEFINED    1     10100   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
CHICOS FAS INC                CALL             168615902   130   11700   SH   CALL DEFINED    1     11700   0     0
CHICOS FAS INC                PUT              168615952   592   53100   SH   PUT  DEFINED    1     53100   0     0
CHILDRENS PL RETAIL STORES I  COM              168905107   551   10367   SH        DEFINED    1     10367   0     0
CHILDRENS PL RETAIL STORES I  CALL             168905907   590   11100   SH   CALL DEFINED    1     11100   0     0
CHILDRENS PL RETAIL STORES I  PUT              168905957   409    7700   SH   PUT  DEFINED    1      7700   0     0
CHIMERA INVT CORP             COM              16934Q109   150   59788   SH        DEFINED    1     59788   0     0
CHIMERA INVT CORP             CALL             16934Q909    86   34100   SH   CALL DEFINED    1     34100   0     0
CHIMERA INVT CORP             PUT              16934Q959   102   40800   SH   PUT  DEFINED    1     40800   0     0
CHINA ARMCO METALS INC        COM              16936C108     3   11150   SH        DEFINED    1     11150   0     0
CHINA AUTO LOGISTICS INC      COM              16936J103    13   16173   SH        DEFINED    1     16173   0     0
CHINA BAK BATTERY INC         COM              16936Y100    42   66223   SH        DEFINED    1     66223   0     0
CHINA DIGITAL TV HLDG CO LTD  SPONSORED ADR    16938G107    38   11969   SH        DEFINED    1     11969   0     0
CHINA DIRECT INDS INC         COM NEW          169384203     9   12392   SH        DEFINED    1     12392   0     0
CHINA GENGSHENG MINERALS INC  COM              16942P101     9   13274   SH        DEFINED    1     13274   0     0
CHINA HOUSING & LAND DEV INC  COM              16939V103    11   11026   SH        DEFINED    1     11026   0     0
CHINA HYDROELECTRC CORP       SPONSORED ADR    16949D101    12   10308   SH        DEFINED    1     10308   0     0
CHINA HYDROELECTRIC CORPORAT  *W EXP 01/25/201 G2112E145     1   21095   SH        DEFINED    1     21095   0     0
CHINA INFORMATION TECHNOLOGY  COM              16950L109    11   18142   SH        DEFINED    1     18142   0     0
CHINA LIFE INS CO LTD         CALL             16939P906   288    7800   SH   CALL DEFINED    1      7800   0     0
CHINA LIFE INS CO LTD         PUT              16939P956   521   14100   SH   PUT  DEFINED    1     14100   0     0
CHINA MOBILE LIMITED          CALL             16941M909   630   13000   SH   CALL DEFINED    1     13000   0     0
CHINA MOBILE LIMITED          PUT              16941M959   655   13500   SH   PUT  DEFINED    1     13500   0     0
CHINA NEPSTAR CHAIN DRUGSTOR  SPONSORED ADR    16943C109    17   11386   SH        DEFINED    1     11386   0     0
CHINA NEW BORUN               CORP ADR         16890T105    55   17568   SH        DEFINED    1     17568   0     0
CHINA PETE & CHEM CORP        SPON ADR H SHS   16941R108   632    6017   SH        DEFINED    1      6017   0     0
CHINA PHARMA HLDGS INC        COM              16941T104     7   10319   SH        DEFINED    1     10319   0     0
CHINA SHEN ZHOU MNG & RES IN  COM              16942H109    33   25646   SH        DEFINED    1     25646   0     0
CHINA TECH DEVELOPMENT GP CO  SHS              G84384109     7   12329   SH        DEFINED    1     12329   0     0
CHINA VALVES TECHNOLOGY INC   COM NEW          169476207    73   34657   SH        DEFINED    1     34657   0     0
CHIPOTLE MEXICAN GRILL INC    CALL             169656905  2769    8200   SH   CALL DEFINED    1      8200   0     0
CHIPOTLE MEXICAN GRILL INC    PUT              169656955  4256   12600   SH   PUT  DEFINED    1     12600   0     0
CHIQUITA BRANDS INTL INC      CALL             170032909   130   15600   SH   CALL DEFINED    1     15600   0     0
CHIQUITA BRANDS INTL INC      PUT              170032959   403   48300   SH   PUT  DEFINED    1     48300   0     0
CHRISTOPHER & BANKS CORP      COM              171046105    32   13732   SH        DEFINED    1     13732   0     0
CHUBB CORP                    COM              171232101   235    3390   SH        DEFINED    1      3390   0     0
CHUBB CORP                    CALL             171232901  1004   14500   SH   CALL DEFINED    1     14500   0     0
CHUBB CORP                    PUT              171232951  1267   18300   SH   PUT  DEFINED    1     18300   0     0
CIENA CORP                    COM NEW          171779309   953   78757   SH        DEFINED    1     78757   0     0
CIENA CORP                    CALL             171779909  1120   92600   SH   CALL DEFINED    1     92600   0     0
CIENA CORP                    PUT              171779959  1744  144100   SH   PUT  DEFINED    1    144100   0     0
CIGNA CORP                    COM              125509109   658   15658   SH        DEFINED    1     15658   0     0
CIGNA CORP                    CALL             125509909  1361   32400   SH   CALL DEFINED    1     32400   0     0
CIGNA CORP                    PUT              125509959  1865   44400   SH   PUT  DEFINED    1     44400   0     0
CIMAREX ENERGY CO             COM              171798101   265    4282   SH        DEFINED    1      4282   0     0
CIMAREX ENERGY CO             CALL             171798901  1151   18600   SH   CALL DEFINED    1     18600   0     0
CIMAREX ENERGY CO             PUT              171798951   829   13400   SH   PUT  DEFINED    1     13400   0     0
CINTAS CORP                   COM              172908105   597   17164   SH        DEFINED    1     17164   0     0
CINTAS CORP                   CALL             172908905   581   16700   SH   CALL DEFINED    1     16700   0     0
CINTAS CORP                   PUT              172908955   773   22200   SH   PUT  DEFINED    1     22200   0     0
CIRRUS LOGIC INC              COM              172755100  1094   69022   SH        DEFINED    1     69022   0     0
CIRRUS LOGIC INC              CALL             172755900  1014   64000   SH   CALL DEFINED    1     64000   0     0
CIRRUS LOGIC INC              PUT              172755950  1403   88500   SH   PUT  DEFINED    1     88500   0     0
CISCO SYS INC                 COM              17275R102  1202   66482   SH        DEFINED    1     66482   0     0
CISCO SYS INC                 CALL             17275R902 10517  581700   SH   CALL DEFINED    1    581700   0     0
CISCO SYS INC                 PUT              17275R952 10092  558200   SH   PUT  DEFINED    1    558200   0     0
CIT GROUP INC                 CALL             125581901  2821   80900   SH   CALL DEFINED    1     80900   0     0
CIT GROUP INC                 PUT              125581951  3337   95700   SH   PUT  DEFINED    1     95700   0     0
CITIGROUP INC                 *W EXP 10/28/201 172967234     3   64650   SH        DEFINED    1     64650   0     0
CITRIX SYS INC                COM              177376100   389    6405   SH        DEFINED    1      6405   0     0
CITRIX SYS INC                CALL             177376900  4943   81400   SH   CALL DEFINED    1     81400   0     0
CITRIX SYS INC                PUT              177376950  4809   79200   SH   PUT  DEFINED    1     79200   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
CLAUDE RES INC                COM            182873109    35   26139   SH        DEFINED    1     26139   0     0
CLAYMORE EXCHANGE TRADED FD   SABRIENT INSID 18383M209   329   10685   SH        DEFINED    1     10685   0     0
CLEAN DIESEL TECHNOLOGIES IN  COM PAR $.01   18449C401    53   19192   SH        DEFINED    1     19192   0     0
CLEAN ENERGY FUELS CORP       COM            184499101   377   30285   SH        DEFINED    1     30285   0     0
CLEANTECH SOLUTIONS INTL INC  COM            18451N105     5   14871   SH        DEFINED    1     14871   0     0
CLEARBRIDGE ENERGY MLP FD IN  COM            184692101   201    8938   SH        DEFINED    1      8938   0     0
CLEARWIRE CORP NEW            CL A           18538Q105   112   57924   SH        DEFINED    1     57924   0     0
CLEVELAND BIOLABS INC         COM            185860103    37   12913   SH        DEFINED    1     12913   0     0
CLIFFS NATURAL RESOURCES INC  COM            18683K101   825   13239   SH        DEFINED    1     13239   0     0
CLIFFS NATURAL RESOURCES INC  CALL           18683K901  3697   59300   SH   CALL DEFINED    1     59300   0     0
CLIFFS NATURAL RESOURCES INC  PUT            18683K951  5998   96200   SH   PUT  DEFINED    1     96200   0     0
CLOROX CO DEL                 COM            189054109  1464   21999   SH        DEFINED    1     21999   0     0
CLOROX CO DEL                 CALL           189054909  4752   71400   SH   CALL DEFINED    1     71400   0     0
CLOROX CO DEL                 PUT            189054959  1112   16700   SH   PUT  DEFINED    1     16700   0     0
CME GROUP INC                 COM            12572Q105   687    2818   SH        DEFINED    1      2818   0     0
CME GROUP INC                 CALL           12572Q905  1706    7000   SH   CALL DEFINED    1      7000   0     0
CME GROUP INC                 PUT            12572Q955  2948   12100   SH   PUT  DEFINED    1     12100   0     0
CNO FINL GROUP INC            CALL           12621E903   227   36000   SH   CALL DEFINED    1     36000   0     0
CNO FINL GROUP INC            PUT            12621E953   108   17100   SH   PUT  DEFINED    1     17100   0     0
CNOOC LTD                     CALL           126132909   384    2200   SH   CALL DEFINED    1      2200   0     0
COACH INC                     COM            189754104   275    4502   SH        DEFINED    1      4502   0     0
COACH INC                     CALL           189754904  5262   86200   SH   CALL DEFINED    1     86200   0     0
COACH INC                     PUT            189754954  5994   98200   SH   PUT  DEFINED    1     98200   0     0
COCA COLA CO                  COM            191216100   447    6387   SH        DEFINED    1      6387   0     0
COCA COLA CO                  CALL           191216900 12979  185500   SH   CALL DEFINED    1    185500   0     0
COCA COLA CO                  PUT            191216950 23321  333300   SH   PUT  DEFINED    1    333300   0     0
COCA COLA ENTERPRISES INC NE  PUT            19122T959   900   34900   SH   PUT  DEFINED    1     34900   0     0
COEUR D ALENE MINES CORP IDA  CALL           192108904  2675  110800   SH   CALL DEFINED    1    110800   0     0
COEUR D ALENE MINES CORP IDA  PUT            192108954  2839  117600   SH   PUT  DEFINED    1    117600   0     0
COGDELL SPENCER INC           COM            19238U107    53   12437   SH        DEFINED    1     12437   0     0
COGNIZANT TECHNOLOGY SOLUTIO  CL A           192446102   836   13003   SH        DEFINED    1     13003   0     0
COGNIZANT TECHNOLOGY SOLUTIO  CALL           192446902  3871   60200   SH   CALL DEFINED    1     60200   0     0
COGNIZANT TECHNOLOGY SOLUTIO  PUT            192446952 10695  166300   SH   PUT  DEFINED    1    166300   0     0
COHEN & STEERS SLT PFD INCM   COM            19248Y107   258   11906   SH        DEFINED    1     11906   0     0
COINSTAR INC                  COM            19259P300   485   10623   SH        DEFINED    1     10623   0     0
COLGATE PALMOLIVE CO          COM            194162103   620    6715   SH        DEFINED    1      6715   0     0
COLGATE PALMOLIVE CO          CALL           194162903 13193  142800   SH   CALL DEFINED    1    142800   0     0
COLGATE PALMOLIVE CO          PUT            194162953  5451   59000   SH   PUT  DEFINED    1     59000   0     0
COLLECTIVE BRANDS INC         CALL           19421W900   565   39300   SH   CALL DEFINED    1     39300   0     0
COLLECTIVE BRANDS INC         PUT            19421W950   182   12700   SH   PUT  DEFINED    1     12700   0     0
COMCAST CORP NEW              CALL           20030N901  1572   66300   SH   CALL DEFINED    1     66300   0     0
COMCAST CORP NEW              PUT            20030N951  4047  170700   SH   PUT  DEFINED    1    170700   0     0
COMCAST CORP NEW              PUT            20030N950   650   27600   SH   PUT  DEFINED    1     27600   0     0
COMERICA INC                  CALL           200340907  1171   45400   SH   CALL DEFINED    1     45400   0     0
COMERICA INC                  PUT            200340957  1146   44400   SH   PUT  DEFINED    1     44400   0     0
COMMERCIAL METALS CO          CALL           201723903   982   71000   SH   CALL DEFINED    1     71000   0     0
COMMERCIAL METALS CO          PUT            201723953   469   33900   SH   PUT  DEFINED    1     33900   0     0
COMMVAULT SYSTEMS INC         COM            204166102   988   23117   SH        DEFINED    1     23117   0     0
COMMVAULT SYSTEMS INC         CALL           204166902   316    7400   SH   CALL DEFINED    1      7400   0     0
COMMVAULT SYSTEMS INC         PUT            204166952   359    8400   SH   PUT  DEFINED    1      8400   0     0
COMPANHIA DE BEBIDAS DAS AME  SPON ADR PFD   20441W203   220    6093   SH        DEFINED    1      6093   0     0
COMPANHIA DE BEBIDAS DAS AME  CALL           20441W903   469   13000   SH   CALL DEFINED    1     13000   0     0
COMPANIA DE MINAS BUENAVENTU  CALL           204448904   345    9000   SH   CALL DEFINED    1      9000   0     0
COMPANIA DE MINAS BUENAVENTU  PUT            204448954   640   16700   SH   PUT  DEFINED    1     16700   0     0
COMPUTER SCIENCES CORP        CALL           205363904  2666  112500   SH   CALL DEFINED    1    112500   0     0
COMPUTER SCIENCES CORP        PUT            205363954  1296   54700   SH   PUT  DEFINED    1     54700   0     0
COMPUWARE CORP                COM            205638109   601   72321   SH        DEFINED    1     72321   0     0
COMSTOCK RES INC              COM NEW        205768203   245   16029   SH        DEFINED    1     16029   0     0
COMTECH TELECOMMUNICATIONS C  COM NEW        205826209   211    7367   SH        DEFINED    1      7367   0     0
CONAGRA FOODS INC             CALL           205887902  2545   96400   SH   CALL DEFINED    1     96400   0     0
CONAGRA FOODS INC             PUT            205887952  1051   39800   SH   PUT  DEFINED    1     39800   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
CONCHO RES INC                CALL             20605P901  2025   21600   SH   CALL DEFINED    1     21600   0     0
CONCHO RES INC                PUT              20605P951  2447   26100   SH   PUT  DEFINED    1     26100   0     0
CONCORD MED SVCS HLDGS LTD    SPONSORED ADR    206277105    34   10378   SH        DEFINED    1     10378   0     0
CONCUR TECHNOLOGIES INC       COM              206708109   410    8068   SH        DEFINED    1      8068   0     0
CONOCOPHILLIPS                COM              20825C104   607    8325   SH        DEFINED    1      8325   0     0
CONOCOPHILLIPS                CALL             20825C904 12694  174200   SH   CALL DEFINED    1    174200   0     0
CONOCOPHILLIPS                PUT              20825C954 13007  178500   SH   PUT  DEFINED    1    178500   0     0
CONSOL ENERGY INC             CALL             20854P909  1376   37500   SH   CALL DEFINED    1     37500   0     0
CONSOL ENERGY INC             PUT              20854P959  1806   49200   SH   PUT  DEFINED    1     49200   0     0
CONSOLIDATED EDISON INC       COM              209115104   381    6148   SH        DEFINED    1      6148   0     0
CONSOLIDATED EDISON INC       CALL             209115904  2779   44800   SH   CALL DEFINED    1     44800   0     0
CONSOLIDATED EDISON INC       PUT              209115954  4689   75600   SH   PUT  DEFINED    1     75600   0     0
CONSTELLATION ENERGY GROUP I  COM              210371100   407   10255   SH        DEFINED    1     10255   0     0
CONSTELLATION ENERGY GROUP I  CALL             210371900   496   12500   SH   CALL DEFINED    1     12500   0     0
CONSTELLATION ENERGY PRTNR L  COM UNIT LLC B   21038E101    22   11406   SH        DEFINED    1     11406   0     0
CONTINENTAL RESOURCES INC     COM              212015101   755   11314   SH        DEFINED    1     11314   0     0
CONTINENTAL RESOURCES INC     CALL             212015901   994   14900   SH   CALL DEFINED    1     14900   0     0
CONTINENTAL RESOURCES INC     PUT              212015951  1728   25900   SH   PUT  DEFINED    1     25900   0     0
CON-WAY INC                   CALL             205944901   292   10000   SH   CALL DEFINED    1     10000   0     0
COOPER INDUSTRIES PLC         SHS              G24140108   349    6441   SH        DEFINED    1      6441   0     0
CORINTHIAN COLLEGES INC       COM              218868107   115   52523   SH        DEFINED    1     52523   0     0
CORNERSTONE STRATEGIC VALUE   COM NEW          21924B203    90   13667   SH        DEFINED    1     13667   0     0
CORNERSTONE TOTAL RTRN FD IN  COM NEW          21924U201    63   10578   SH        DEFINED    1     10578   0     0
CORNING INC                   CALL             219350905  2948  227100   SH   CALL DEFINED    1    227100   0     0
CORNING INC                   PUT              219350955  3912  301400   SH   PUT  DEFINED    1    301400   0     0
COSTCO WHSL CORP NEW          COM              22160K105  1445   17342   SH        DEFINED    1     17342   0     0
COSTCO WHSL CORP NEW          CALL             22160K905  5649   67800   SH   CALL DEFINED    1     67800   0     0
COSTCO WHSL CORP NEW          PUT              22160K955 10390  124700   SH   PUT  DEFINED    1    124700   0     0
COVANCE INC                   COM              222816100   242    5288   SH        DEFINED    1      5288   0     0
COVENTRY HEALTH CARE INC      COM              222862104   424   13948   SH        DEFINED    1     13948   0     0
COVENTRY HEALTH CARE INC      CALL             222862904   364   12000   SH   CALL DEFINED    1     12000   0     0
COVENTRY HEALTH CARE INC      PUT              222862954   595   19600   SH   PUT  DEFINED    1     19600   0     0
CRACKER BARREL OLD CTRY STOR  COM              22410J106   332    6595   SH        DEFINED    1      6595   0     0
CRACKER BARREL OLD CTRY STOR  CALL             22410J906   227    4500   SH   CALL DEFINED    1      4500   0     0
CRACKER BARREL OLD CTRY STOR  PUT              22410J956   308    6100   SH   PUT  DEFINED    1      6100   0     0
CREDIT SUISSE GROUP           CALL             225401908  1251   53300   SH   CALL DEFINED    1     53300   0     0
CREDIT SUISSE GROUP           PUT              225401958   392   16700   SH   PUT  DEFINED    1     16700   0     0
CREDIT SUISSE HIGH YLD BND F  SH BEN INT       22544F103    85   29619   SH        DEFINED    1     29619   0     0
CREDIT SUISSE NASSAU BRH      VIX SHT TRM FT   22542D761   420   13156   SH        DEFINED    1     13156   0     0
CREE INC                      CALL             225447901  3485  158100   SH   CALL DEFINED    1    158100   0     0
CREE INC                      PUT              225447951  2319  105200   SH   PUT  DEFINED    1    105200   0     0
CRESUD SA COMERCIAL           *W EXP 05/22/201 P3311R192     1   13625   SH        DEFINED    1     13625   0     0
CROCS INC                     COM              227046109   620   41995   SH        DEFINED    1     41995   0     0
CROCS INC                     CALL             227046909  1281   86700   SH   CALL DEFINED    1     86700   0     0
CROCS INC                     PUT              227046959   889   60200   SH   PUT  DEFINED    1     60200   0     0
CROSSHAIR ENERGY CORP         COM              22765F105    13   36108   SH        DEFINED    1     36108   0     0
CROSSTEX ENERGY INC           COM              22765Y104   148   11741   SH        DEFINED    1     11741   0     0
CROWN CASTLE INTL CORP        CALL             228227904   529   11800   SH   CALL DEFINED    1     11800   0     0
CROWN CASTLE INTL CORP        PUT              228227954  1093   24400   SH   PUT  DEFINED    1     24400   0     0
CROWN HOLDINGS INC            CALL             228368906  1148   34200   SH   CALL DEFINED    1     34200   0     0
CROWN HOLDINGS INC            PUT              228368956  1249   37200   SH   PUT  DEFINED    1     37200   0     0
CROWN MEDIA HLDGS INC         CL A             228411104    16   13317   SH        DEFINED    1     13317   0     0
CSX CORP                      COM              126408103   269   12795   SH        DEFINED    1     12795   0     0
CSX CORP                      CALL             126408903  1476   70100   SH   CALL DEFINED    1     70100   0     0
CSX CORP                      PUT              126408953  2211  105000   SH   PUT  DEFINED    1    105000   0     0
CTC MEDIA INC                 COM              12642X106   156   17750   SH        DEFINED    1     17750   0     0
CTRIP COM INTL LTD            ADR              22943F100  1377   58838   SH        DEFINED    1     58838   0     0
CTRIP COM INTL LTD            CALL             22943F900  1018   43500   SH   CALL DEFINED    1     43500   0     0
CTRIP COM INTL LTD            PUT              22943F950  2214   94600   SH   PUT  DEFINED    1     94600   0     0
CUBIST PHARMACEUTICALS INC    COM              229678107   374    9433   SH        DEFINED    1      9433   0     0
CUMMINS INC                   CALL             231021906  6434   73100   SH   CALL DEFINED    1     73100   0     0






                                ISSUER                  VALUE          FLAG  PUT  INVEST
ISSUER NAME                   DESCRIPTION       CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                ------------------ --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                               
CUMMINS INC                PUT                231021956 10184  115700   SH   PUT  DEFINED    1    115700   0     0
CURIS INC                  COM                231269101    50   10798   SH        DEFINED    1     10798   0     0
CURRENCYSHARES SWEDISH
 KRONA                     SWEDISH KRONA      23129R108   202    1398   SH        DEFINED    1      1398   0     0
CURRENCYSHARES SWISS
 FRANC T                   SWISS FRANC SH     23129V109   764    7270   SH        DEFINED    1      7270   0     0
CURRENCYSHS BRIT POUND
 STER                      BRIT POUND STE     23129S106   246    1595   SH        DEFINED    1      1595   0     0
CVS CAREMARK CORPORATION   COM                126650100  1005   24652   SH        DEFINED    1     24652   0     0
CVS CAREMARK CORPORATION   CALL               126650900  7528  184600   SH   CALL DEFINED    1    184600   0     0
CVS CAREMARK CORPORATION   PUT                126650950  5538  135800   SH   PUT  DEFINED    1    135800   0     0
CYBERDEFENDER CORP         COM                23248L107     5   17605   SH        DEFINED    1     17605   0     0
CYCLACEL PHARMACEUTICALS
 INC                       COM                23254L108    22   38733   SH        DEFINED    1     38733   0     0
CYMER INC                  COM                232572107   678   13621   SH        DEFINED    1     13621   0     0
CYPRESS SEMICONDUCTOR
 CORP                      CALL               232806909   318   18800   SH   CALL DEFINED    1     18800   0     0
CYPRESS SEMICONDUCTOR
 CORP                      PUT                232806959   454   26900   SH   PUT  DEFINED    1     26900   0     0
CYS INVTS INC              COM                12673A108   134   10231   SH        DEFINED    1     10231   0     0
CYTOKINETICS INC           COM                23282W100    33   34643   SH        DEFINED    1     34643   0     0
CYTRX CORP                 COM NEW            232828301    20   73084   SH        DEFINED    1     73084   0     0
D R HORTON INC             CALL               23331A909   995   78900   SH   CALL DEFINED    1     78900   0     0
D R HORTON INC             PUT                23331A959   198   15700   SH   PUT  DEFINED    1     15700   0     0
DANA HOLDING CORP          CALL               235825905   190   15600   SH   CALL DEFINED    1     15600   0     0
DANAHER CORP DEL           COM                235851102   250    5309   SH        DEFINED    1      5309   0     0
DANAHER CORP DEL           CALL               235851902  4267   90700   SH   CALL DEFINED    1     90700   0     0
DANAHER CORP DEL           PUT                235851952  7799  165800   SH   PUT  DEFINED    1    165800   0     0
DAQO NEW ENERGY            CORP SPONSORED ADR 23703Q104    22   13450   SH        DEFINED    1     13450   0     0
DARDEN RESTAURANTS INC     CALL               237194905  3040   66700   SH   CALL DEFINED    1     66700   0     0
DARDEN RESTAURANTS INC     PUT                237194955  2147   47100   SH   PUT  DEFINED    1     47100   0     0
DAVITA INC                 CALL               23918K908   569    7500   SH   CALL DEFINED    1      7500   0     0
DAYSTAR TECHNOLOGIES INC   COM NEW            23962Q308     9   41465   SH        DEFINED    1     41465   0     0
DEAN FOODS CO NEW          CALL               242370904   747   66700   SH   CALL DEFINED    1     66700   0     0
DEAN FOODS CO NEW          PUT                242370954   456   40700   SH   PUT  DEFINED    1     40700   0     0
DECKERS OUTDOOR CORP       COM                243537107  3278   43383   SH        DEFINED    1     43383   0     0
DECKERS OUTDOOR CORP       CALL               243537907  4345   57500   SH   CALL DEFINED    1     57500   0     0
DECKERS OUTDOOR CORP       PUT                243537957  3718   49200   SH   PUT  DEFINED    1     49200   0     0
DEERE & CO                 CALL               244199905  8037  103900   SH   CALL DEFINED    1    103900   0     0
DEERE & CO                 PUT                244199955 12237  158200   SH   PUT  DEFINED    1    158200   0     0
DELCATH SYS INC            COM                24661P104   151   49893   SH        DEFINED    1     49893   0     0
DELL INC                   COM                24702R101   932   63737   SH        DEFINED    1     63737   0     0
DELL INC                   CALL               24702R901  8689  593900   SH   CALL DEFINED    1    593900   0     0
DELL INC                   PUT                24702R951  2083  142400   SH   PUT  DEFINED    1    142400   0     0
DELTA AIR LINES INC DEL    COM NEW            247361702   144   17799   SH        DEFINED    1     17799   0     0
DELTA AIR LINES INC DEL    CALL               247361902   354   43800   SH   CALL DEFINED    1     43800   0     0
DELTA AIR LINES INC DEL    PUT                247361952  2136  264000   SH   PUT  DEFINED    1    264000   0     0
DENBURY RES INC            COM NEW            247916208   230   15202   SH        DEFINED    1     15202   0     0
DENBURY RES INC            CALL               247916908   941   62300   SH   CALL DEFINED    1     62300   0     0
DENBURY RES INC            PUT                247916958   473   31300   SH   PUT  DEFINED    1     31300   0     0
DENTSPLY INTL INC NEW      COM                249030107   413   11811   SH        DEFINED    1     11811   0     0
DEUTSCHE BANK AG           NAMEN AKT          D18190898   380   10024   SH        DEFINED    1     10024   0     0
DEUTSCHE BK AG LDN BRH     PS GOLD SH ETN     25154H731   147   11388   SH        DEFINED    1     11388   0     0
DEUTSCHE BK AG LDN BRH     PS GOLD DL ETN     25154H749   461    9687   SH        DEFINED    1      9687   0     0
DEVON ENERGY CORP NEW      CALL               25179M903  3360   54200   SH   CALL DEFINED    1     54200   0     0
DEVON ENERGY CORP NEW      PUT                25179M953  3615   58300   SH   PUT  DEFINED    1     58300   0     0
DEVRY INC DEL              CALL               251893903   519   13500   SH   CALL DEFINED    1     13500   0     0
DEVRY INC DEL              PUT                251893953   600   15600   SH   PUT  DEFINED    1     15600   0     0
DHT MARITIME INC           COM                Y2065G105   102  137547   SH        DEFINED    1    137547   0     0
DIAMOND FOODS INC          COM                252603105   888   27518   SH        DEFINED    1     27518   0     0
DIAMOND OFFSHORE DRILLING
 IN                        COM                25271C102   657   11887   SH        DEFINED    1     11887   0     0
DIAMOND OFFSHORE DRILLING
 IN                        CALL               25271C902  3106   56200   SH   CALL DEFINED    1     56200   0     0
DIAMOND OFFSHORE DRILLING
 IN                        PUT                25271C952  2448   44300   SH   PUT  DEFINED    1     44300   0     0
DIANA SHIPPING INC         COM                Y2066G104   161   21556   SH        DEFINED    1     21556   0     0
DICKS SPORTING GOODS INC   CALL               253393902   664   18000   SH   CALL DEFINED    1     18000   0     0
DICKS SPORTING GOODS INC   PUT                253393952  1191   32300   SH   PUT  DEFINED    1     32300   0     0
DIGITAL ALLY INC           COM                25382P109     6   10065   SH        DEFINED    1     10065   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
DIGITAL GENERATION INC        COM              25400B108  229    19185   SH        DEFINED    1     19185   0     0
DIGITAL RIV INC               COM              25388B104  367    24426   SH        DEFINED    1     24426   0     0
DIGITAL RIV INC               CALL             25388B904  180    12000   SH   CALL DEFINED    1     12000   0     0
DILLARDS INC                  CL A             254067101  382     8503   SH        DEFINED    1      8503   0     0
DILLARDS INC                  CALL             254067901 1863    41500   SH   CALL DEFINED    1     41500   0     0
DILLARDS INC                  PUT              254067951 1212    27000   SH   PUT  DEFINED    1     27000   0     0
DINEEQUITY INC                CALL             254423906  346     8200   SH   CALL DEFINED    1      8200   0     0
DIODES INC                    COM              254543101  364    17096   SH        DEFINED    1     17096   0     0
DIRECTV                       COM CL A         25490A101 3413    79820   SH        DEFINED    1     79820   0     0
DIRECTV                       CALL             25490A901 3515    82200   SH   CALL DEFINED    1     82200   0     0
DIRECTV                       PUT              25490A951 2108    49300   SH   PUT  DEFINED    1     49300   0     0
DIREXION SHS ETF TR           DLY TECH BULL 3X 25459W102  656    17997   SH        DEFINED    1     17997   0     0
DIREXION SHS ETF TR           DLY FIN BEAR NEW 25459W144 3166    84823   SH        DEFINED    1     84823   0     0
DIREXION SHS ETF TR           DLY LRG CAP BEAR 25459W151 1318    44646   SH        DEFINED    1     44646   0     0
DIREXION SHS ETF TR           DLY TECH BEAR 3X 25459W318  252    15481   SH        DEFINED    1     15481   0     0
DIREXION SHS ETF TR           DLY ENRGY BEAR3X 25459W342  425    37560   SH        DEFINED    1     37560   0     0
DIREXION SHS ETF TR           10YR BEAR ETF    25459W557  218     7968   SH        DEFINED    1      7968   0     0
DIREXION SHS ETF TR           DLY EMRGMKT BULL 25459Y686  617     8274   SH        DEFINED    1      8274   0     0
DIREXION SHS ETF TR           DLY FIN BULL NEW 25459Y694 1452    22387   SH        DEFINED    1     22387   0     0
DIREXION SHS ETF TR           DLY MIDCAP ETF3X 25459W730  444    14152   SH        DEFINED    1     14152   0     0
DIREXION SHS ETF TR           DLY SMCAP BULL3X 25459W847 3445    76925   SH        DEFINED    1     76925   0     0
DIREXION SHS ETF TR           DLY LRG CAP BULL 25459W862  669    10999   SH        DEFINED    1     10999   0     0
DIREXION SHS ETF TR           DLY ENRGY BULL3X 25459W888 1264    26980   SH        DEFINED    1     26980   0     0
DISCOVER FINL SVCS            COM              254709108  293    12227   SH        DEFINED    1     12227   0     0
DISCOVER FINL SVCS            CALL             254709908  914    38100   SH   CALL DEFINED    1     38100   0     0
DISCOVER FINL SVCS            PUT              254709958 1241    51700   SH   PUT  DEFINED    1     51700   0     0
DISCOVERY COMMUNICATNS
 NEW                          COM SER A        25470F104  976    23812   SH        DEFINED    1     23812   0     0
DISCOVERY COMMUNICATNS
 NEW                          COM SER C        25470F302  254     6742   SH        DEFINED    1      6742   0     0
DISCOVERY LABORATORIES INC N  COM NEW          254668403   19    11463   SH        DEFINED    1     11463   0     0
DISH NETWORK CORP             CL A             25470M109  201     7068   SH        DEFINED    1      7068   0     0
DISH NETWORK CORP             CALL             25470M909 2817    98900   SH   CALL DEFINED    1     98900   0     0
DISH NETWORK CORP             PUT              25470M959 1430    50200   SH   PUT  DEFINED    1     50200   0     0
DISNEY WALT CO                CALL             254687906 6570   175200   SH   CALL DEFINED    1    175200   0     0
DISNEY WALT CO                PUT              254687956 6443   171800   SH   PUT  DEFINED    1    171800   0     0
DOLBY LABORATORIES INC        PUT              25659T957  217     7100   SH   PUT  DEFINED    1      7100   0     0
DOLLAR GEN CORP NEW           CALL             256677905 2102    51100   SH   CALL DEFINED    1     51100   0     0
DOLLAR GEN CORP NEW           PUT              256677955  691    16800   SH   PUT  DEFINED    1     16800   0     0
DOLLAR THRIFTY AUTOMOTIVE
 GP                           CALL             256743905 1440    20500   SH   CALL DEFINED    1     20500   0     0
DOLLAR THRIFTY AUTOMOTIVE
 GP                           PUT              256743955 1145    16300   SH   PUT  DEFINED    1     16300   0     0
DOLLAR TREE INC               COM              256746108  856    10299   SH        DEFINED    1     10299   0     0
DOLLAR TREE INC               CALL             256746908 3092    37200   SH   CALL DEFINED    1     37200   0     0
DOLLAR TREE INC               PUT              256746958 5735    69000   SH   PUT  DEFINED    1     69000   0     0
DOMINION RES INC VA NEW       CALL             25746U909 2882    54300   SH   CALL DEFINED    1     54300   0     0
DOMINION RES INC VA NEW       PUT              25746U959 1507    28400   SH   PUT  DEFINED    1     28400   0     0
DOMTAR CORP                   COM NEW          257559203  205     2565   SH        DEFINED    1      2565   0     0
DOMTAR CORP                   CALL             257559903  320     4000   SH   CALL DEFINED    1      4000   0     0
DOMTAR CORP                   PUT              257559953  360     4500   SH   PUT  DEFINED    1      4500   0     0
DONNELLEY R R & SONS CO       COM              257867101  379    26281   SH        DEFINED    1     26281   0     0
DONNELLEY R R & SONS CO       CALL             257867901  250    17300   SH   CALL DEFINED    1     17300   0     0
DONNELLEY R R & SONS CO       PUT              257867951 2606   180600   SH   PUT  DEFINED    1    180600   0     0
DORAL FINL CORP               COM NEW          25811P886   53    55004   SH        DEFINED    1     55004   0     0
DOVER CORP                    CALL             260003908 1382    23800   SH   CALL DEFINED    1     23800   0     0
DOVER CORP                    PUT              260003958  819    14100   SH   PUT  DEFINED    1     14100   0     0
DOW CHEM CO                   CALL             260543903 3877   134800   SH   CALL DEFINED    1    134800   0     0
DOW CHEM CO                   PUT              260543953 4018   139700   SH   PUT  DEFINED    1    139700   0     0
DR PEPPER SNAPPLE GROUP INC   CALL             26138E909  383     9700   SH   CALL DEFINED    1      9700   0     0
DR REDDYS LABS LTD            ADR              256135203  299    10159   SH        DEFINED    1     10159   0     0
DRESSER-RAND GROUP INC                     COM 261608103  282     5643   SH        DEFINED    1      5643   0     0
DREYFUS STRATEGIC MUNS INC                 COM 261932107  100    11210   SH        DEFINED    1     11210   0     0
DRYSHIPS INC                               SHS Y2109Q101  157    78919   SH        DEFINED    1     78919   0     0
DRYSHIPS INC                              CALL Y2109Q901  399   199700   SH   CALL DEFINED    1    199700   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
DRYSHIPS INC                  PUT            Y2109Q951   139   69300   SH   PUT  DEFINED    1     69300   0     0
DTE ENERGY CO                 COM            233331107   264    4846   SH        DEFINED    1      4846   0     0
DU PONT E I DE NEMOURS & CO   COM            263534109   338    7376   SH        DEFINED    1      7376   0     0
DU PONT E I DE NEMOURS & CO   CALL           263534909  4940  107900   SH   CALL DEFINED    1    107900   0     0
DU PONT E I DE NEMOURS & CO   PUT            263534959  8433  184200   SH   PUT  DEFINED    1    184200   0     0
DUFF & PHELPS GLB UTL INC FD  COM            26433C105   223   12322   SH        DEFINED    1     12322   0     0
DUKE ENERGY CORP NEW          COM            26441C105   390   17728   SH        DEFINED    1     17728   0     0
DUKE ENERGY CORP NEW          CALL           26441C905  7192  326900   SH   CALL DEFINED    1    326900   0     0
DUKE ENERGY CORP NEW          PUT            26441C955   642   29200   SH   PUT  DEFINED    1     29200   0     0
DUNKIN BRANDS GROUP INC       COM            265504100   314   12564   SH        DEFINED    1     12564   0     0
DURECT CORP                   COM            266605104    18   15405   SH        DEFINED    1     15405   0     0
DWS MUN INCOME TR             COM            23338M106   149   10797   SH        DEFINED    1     10797   0     0
E M C CORP MASS               COM            268648102  1640   76117   SH        DEFINED    1     76117   0     0
E M C CORP MASS               CALL           268648902  3871  179700   SH   CALL DEFINED    1    179700   0     0
E M C CORP MASS               PUT            268648952 12097  561600   SH   PUT  DEFINED    1    561600   0     0
E TRADE FINANCIAL CORP        COM NEW        269246401   319   40127   SH        DEFINED    1     40127   0     0
EAGLE BULK SHIPPING INC       COM            Y2187A101    77   82505   SH        DEFINED    1     82505   0     0
EASTMAN CHEM CO               CALL           277432900  1148   29400   SH   CALL DEFINED    1     29400   0     0
EASTMAN CHEM CO               PUT            277432950   684   17500   SH   PUT  DEFINED    1     17500   0     0
EATON CORP                    CALL           278058902  3139   72100   SH   CALL DEFINED    1     72100   0     0
EATON CORP                    PUT            278058952  1872   43000   SH   PUT  DEFINED    1     43000   0     0
EATON VANCE INS MUN BD FD     COM            27827X101   160   12583   SH        DEFINED    1     12583   0     0
EATON VANCE LTD DUR INCOME F  COM            27828H105   238   15616   SH        DEFINED    1     15616   0     0
EATON VANCE RISK MNGD DIV EQ  COM            27829G106   294   28172   SH        DEFINED    1     28172   0     0
EATON VANCE TAX ADVT DIV INC  COM            27828G107   216   14770   SH        DEFINED    1     14770   0     0
EATON VANCE TAX MNG GBL DV E  COM            27829F108   733   88807   SH        DEFINED    1     88807   0     0
EATON VANCE TAX MNGED BUY WR  COM            27828X100   170   13204   SH        DEFINED    1     13204   0     0
EATON VANCE TX ADV GLB DIV O  COM            27828U106   195   11449   SH        DEFINED    1     11449   0     0
EATON VANCE TX ADV GLBL DIV   COM            27828S101   219   17872   SH        DEFINED    1     17872   0     0
EATON VANCE TX MNG BY WRT OP  COM            27828Y108   200   17074   SH        DEFINED    1     17074   0     0
EATON VANCE TXMGD GL BUYWR O  COM            27829C105   212   20608   SH        DEFINED    1     20608   0     0
EBAY INC                      COM            278642103  1241   40930   SH        DEFINED    1     40930   0     0
EBAY INC                      CALL           278642903  9211  303700   SH   CALL DEFINED    1    303700   0     0
EBAY INC                      PUT            278642953  7410  244300   SH   PUT  DEFINED    1    244300   0     0
EBIX INC                      COM NEW        278715206   294   13309   SH        DEFINED    1     13309   0     0
EBIX INC                      CALL           278715906   606   27400   SH   CALL DEFINED    1     27400   0     0
EBIX INC                      PUT            278715956   214    9700   SH   PUT  DEFINED    1      9700   0     0
ECOLAB INC                    CALL           278865900   266    4600   SH   CALL DEFINED    1      4600   0     0
E-COMMERCE CHINA DANGDANG IN  SPN ADS COM A  26833A105   112   25541   SH        DEFINED    1     25541   0     0
EDGAR ONLINE INC              COM            279765101     5   12481   SH        DEFINED    1     12481   0     0
EDISON INTL                   CALL           281020907   348    8400   SH   CALL DEFINED    1      8400   0     0
EDISON INTL                   PUT            281020957   207    5000   SH   PUT  DEFINED    1      5000   0     0
EDWARDS LIFESCIENCES CORP     COM            28176E108   242    3419   SH        DEFINED    1      3419   0     0
EL PASO CORP                  CALL           28336L909  1467   55200   SH   CALL DEFINED    1     55200   0     0
EL PASO CORP                  PUT            28336L959  1132   42600   SH   PUT  DEFINED    1     42600   0     0
EL PASO ELEC CO               COM NEW        283677854   204    5884   SH        DEFINED    1      5884   0     0
EL PASO ENERGY CAP TR I       PFD CV TR SECS 283678209   240    5203   SH        DEFINED    1      5203   0     0
ELAN PLC                      CALL           284131908   207   15100   SH   CALL DEFINED    1     15100   0     0
ELDORADO GOLD CORP NEW        CALL           284902903   450   32800   SH   CALL DEFINED    1     32800   0     0
ELECTRONIC ARTS INC           COM            285512109   438   21288   SH        DEFINED    1     21288   0     0
ELECTRONIC ARTS INC           CALL           285512909  3049  148000   SH   CALL DEFINED    1    148000   0     0
ELECTRONIC ARTS INC           PUT            285512959  1300   63100   SH   PUT  DEFINED    1     63100   0     0
EMCORE CORP                   COM            290846104    22   25050   SH        DEFINED    1     25050   0     0
EMERSON ELEC CO               COM            291011104   495   10619   SH        DEFINED    1     10619   0     0
EMERSON ELEC CO               CALL           291011904  4897  105100   SH   CALL DEFINED    1    105100   0     0
EMERSON ELEC CO               PUT            291011954  6336  136000   SH   PUT  DEFINED    1    136000   0     0
EMULEX CORP                   CALL           292475909   285   41600   SH   CALL DEFINED    1     41600   0     0
EMULEX CORP                   PUT            292475959   707  103000   SH   PUT  DEFINED    1    103000   0     0
ENCANA CORP                   CALL           292505904   206   11100   SH   CALL DEFINED    1     11100   0     0
ENCANA CORP                   PUT            292505954   530   28600   SH   PUT  DEFINED    1     28600   0     0
ENDO PHARMACEUTICALS HLDGS I  COM            29264F205  1157   33514   SH        DEFINED    1     33514   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
ENDOCYTE INC                  COM            29269A102    67   17817   SH        DEFINED    1     17817   0     0
ENDURO RTY TR TR              UNIT           29269K100   210   10273   SH        DEFINED    1     10273   0     0
ENERGY CONVERSION DEVICES IN  COM            292659109    26  128895   SH        DEFINED    1    128895   0     0
ENERGY RECOVERY INC           COM            29270J100    38   14679   SH        DEFINED    1     14679   0     0
ENERGY TRANSFER PRTNRS L P    UNIT LTD PARTN 29273R109   336    7327   SH        DEFINED    1      7327   0     0
ENERGY TRANSFER PRTNRS L P    CALL           29273R909  1022   22300   SH   CALL DEFINED    1     22300   0     0
ENERGY TRANSFER PRTNRS L P    PUT            29273R959  1004   21900   SH   PUT  DEFINED    1     21900   0     0
ENERGY XXI (BERMUDA) LTD      USD UNRS SHS   G10082140   201    6313   SH        DEFINED    1      6313   0     0
ENI S P A                     SPONSORED ADR  26874R108  1206   29228   SH        DEFINED    1     29228   0     0
ENSCO INTL PLC                CALL           29358Q909  3815   81300   SH   CALL DEFINED    1     81300   0     0
ENSCO INTL PLC                PUT            29358Q959  3730   79500   SH   PUT  DEFINED    1     79500   0     0
ENTEGRIS INC                  COM            29362U104   102   11710   SH        DEFINED    1     11710   0     0
ENTERGY CORP NEW              CALL           29364G903  2842   38900   SH   CALL DEFINED    1     38900   0     0
ENTERGY CORP NEW              PUT            29364G953  4062   55600   SH   PUT  DEFINED    1     55600   0     0
ENTERPRISE PRODS PARTNERS L   COM            293792107   692   14926   SH        DEFINED    1     14926   0     0
ENTERPRISE PRODS PARTNERS L   CALL           293792907  1582   34100   SH   CALL DEFINED    1     34100   0     0
ENTERPRISE PRODS PARTNERS L   PUT            293792957  2208   47600   SH   PUT  DEFINED    1     47600   0     0
ENTROPIC COMMUNICATIONS INC   COM            29384R105   250   49108   SH        DEFINED    1     49108   0     0
EOG RES INC                   CALL           26875P901  3280   33300   SH   CALL DEFINED    1     33300   0     0
EOG RES INC                   PUT            26875P951  4029   40900   SH   PUT  DEFINED    1     40900   0     0
EON COMMUNICATIONS CORP       COM NEW        268763208    35   26929   SH        DEFINED    1     26929   0     0
EQT CORP                      COM            26884L109   248    4527   SH        DEFINED    1      4527   0     0
EQUINIX INC                   COM NEW        29444U502   736    7261   SH        DEFINED    1      7261   0     0
EQUINIX INC                   CALL           29444U902  3792   37400   SH   CALL DEFINED    1     37400   0     0
EQUINIX INC                   PUT            29444U952  3468   34200   SH   PUT  DEFINED    1     34200   0     0
EQUITY RESIDENTIAL            CALL           29476L907   565    9900   SH   CALL DEFINED    1      9900   0     0
EQUITY RESIDENTIAL            PUT            29476L957  1933   33900   SH   PUT  DEFINED    1     33900   0     0
ERICSSON L M TEL CO           ADR B SEK 10   294821608   257   25334   SH        DEFINED    1     25334   0     0
ERICSSON L M TEL CO           CALL           294821908   176   17400   SH   CALL DEFINED    1     17400   0     0
ETFS GOLD TR                  SHS            26922Y105   834    5380   SH        DEFINED    1      5380   0     0
ETFS PLATINUM TR              SH BEN INT     26922V101   563    4087   SH        DEFINED    1      4087   0     0
ETFS PRECIOUS METALS BASKET   PHYS PM BSKT   26922W109   603    6991   SH        DEFINED    1      6991   0     0
ETRADE FINANCIAL CORP         CALL           269246901   852  107000   SH   CALL DEFINED    1    107000   0     0
ETRADE FINANCIAL CORP         PUT            269246951  1324  166300   SH   PUT  DEFINED    1    166300   0     0
EV ENERGY PARTNERS LP         COM UNITS      26926V107   481    7294   SH        DEFINED    1      7294   0     0
EV ENERGY PARTNERS LP         CALL           26926V907   237    3600   SH   CALL DEFINED    1      3600   0     0
EV ENERGY PARTNERS LP         PUT            26926V957   751   11400   SH   PUT  DEFINED    1     11400   0     0
EVEREST RE GROUP LTD          COM            G3223R108   233    2767   SH        DEFINED    1      2767   0     0
EVOLUTION PETROLEUM CORP      COM            30049A107    96   11968   SH        DEFINED    1     11968   0     0
EXCEL MARITIME CARRIERS LTD   COM            V3267N107    68   46888   SH        DEFINED    1     46888   0     0
EXCO RESOURCES INC            CALL           269279902   514   49200   SH   CALL DEFINED    1     49200   0     0
EXCO RESOURCES INC            PUT            269279952   456   43600   SH   PUT  DEFINED    1     43600   0     0
EXELIXIS INC                  COM            30161Q104    50   10619   SH        DEFINED    1     10619   0     0
EXELON CORP                   COM            30161N101   667   15374   SH        DEFINED    1     15374   0     0
EXELON CORP                   CALL           30161N901  8605  198400   SH   CALL DEFINED    1    198400   0     0
EXELON CORP                   PUT            30161N951  7056  162700   SH   PUT  DEFINED    1    162700   0     0
EXETER RES CORP               COM            301835104    44   16723   SH        DEFINED    1     16723   0     0
EXIDE TECHNOLOGIES            COM NEW        302051206    58   22081   SH        DEFINED    1     22081   0     0
EXPEDIA INC DEL               COM NEW        30212P303   601   20729   SH        DEFINED    1     20729   0     0
EXPEDITORS INTL WASH INC      CALL           302130909  1147   28000   SH   CALL DEFINED    1     28000   0     0
EXPEDITORS INTL WASH INC      PUT            302130959   803   19600   SH   PUT  DEFINED    1     19600   0     0
EXPRESS SCRIPTS INC           COM            302182100   605   13531   SH        DEFINED    1     13531   0     0
EXPRESS SCRIPTS INC           CALL           302182900  3946   88300   SH   CALL DEFINED    1     88300   0     0
EXPRESS SCRIPTS INC           PUT            302182950  7705  172400   SH   PUT  DEFINED    1    172400   0     0
EXTRA SPACE STORAGE INC       COM            30225T102   214    8814   SH        DEFINED    1      8814   0     0
EXXON MOBIL CORP              CALL           30231G902 21360  252000   SH   CALL DEFINED    1    252000   0     0
EXXON MOBIL CORP              PUT            30231G952 30556  360500   SH   PUT  DEFINED    1    360500   0     0
EZCORP INC                    CALL           302301906   298   11300   SH   CALL DEFINED    1     11300   0     0
EZCORP INC                    PUT            302301956   251    9500   SH   PUT  DEFINED    1      9500   0     0
F5 NETWORKS INC               COM            315616102  1617   15236   SH        DEFINED    1     15236   0     0
F5 NETWORKS INC               CALL           315616902  5104   48100   SH   CALL DEFINED    1     48100   0     0






                                  ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   --------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                               
F5 NETWORKS INC               PUT             315616952 6017    56700   SH   PUT  DEFINED    1     56700   0     0
FAIRCHILD SEMICONDUCTOR INTL  CALL            303726903  253    21000   SH   CALL DEFINED    1     21000   0     0
FALCONSTOR SOFTWARE INC       COM             306137100   58    22657   SH        DEFINED    1     22657   0     0
FAMILY DLR STORES INC         CALL            307000909  530     9200   SH   CALL DEFINED    1      9200   0     0
FAMILY DLR STORES INC         PUT             307000959  259     4500   SH   PUT  DEFINED    1      4500   0     0
FASTENAL CO                   COM             311900104  925    21221   SH        DEFINED    1     21221   0     0
FASTENAL CO                   CALL            311900904 2464    56500   SH   CALL DEFINED    1     56500   0     0
FASTENAL CO                   PUT             311900954 2385    54700   SH   PUT  DEFINED    1     54700   0     0
FBR CAPITAL MARKETS CORP      COM             30247C301   32    15758   SH        DEFINED    1     15758   0     0
FEDERAL SIGNAL CORP           COM             313855108   71    17154   SH        DEFINED    1     17154   0     0
FEDEX CORP                    COM             31428X106  242     2899   SH        DEFINED    1      2899   0     0
FEDEX CORP                    CALL            31428X906 4869    58300   SH   CALL DEFINED    1     58300   0     0
FEDEX CORP                    PUT             31428X956 5178    62000   SH   PUT  DEFINED    1     62000   0     0
FEIHE INTL INC                COM             31429Y103   43    16530   SH        DEFINED    1     16530   0     0
FERRELLGAS PARTNERS L.P.      UNIT LTD PART   315293100  263    13884   SH        DEFINED    1     13884   0     0
FIDELITY NATIONAL FINANCIAL   CALL            31620R905  162    10200   SH   CALL DEFINED    1     10200   0     0
FIDELITY NATIONAL FINANCIAL   PUT             31620R955  440    27600   SH   PUT  DEFINED    1     27600   0     0
FIFTH STREET FINANCE CORP     COM             31678A103  318    33310   SH        DEFINED    1     33310   0     0
FIFTH THIRD BANCORP           COM             316773100  586    46139   SH        DEFINED    1     46139   0     0
FIFTH THIRD BANCORP           CALL            316773900 1253    98500   SH   CALL DEFINED    1     98500   0     0
FIFTH THIRD BANCORP           PUT             316773950 1675   131700   SH   PUT  DEFINED    1    131700   0     0
FINISAR CORP                  COM NEW         31787A507  247    14744   SH        DEFINED    1     14744   0     0
FIRST BANCORP P R             COM NEW         318672706   53    15262   SH        DEFINED    1     15262   0     0
FIRST CASH FINL SVCS INC      COM             31942D107  201     5731   SH        DEFINED    1      5731   0     0
FIRST HORIZON NATL CORP       PUT             320517955  119    14900   SH   PUT  DEFINED    1     14900   0     0
FIRST MAJESTIC SILVER CORP    CALL            32076V903  298    17700   SH   CALL DEFINED    1     17700   0     0
FIRST MARBLEHEAD CORP         COM             320771108   39    32964   SH        DEFINED    1     32964   0     0
FIRST NIAGARA FINL GP INC     COM             33582V108  472    54722   SH        DEFINED    1     54722   0     0
FIRST TR ENERGY INFRASTRCTR   COM             33738C103  480    23719   SH        DEFINED    1     23719   0     0
FIRST TR EXCHANGE TRADED FD   INDLS PROD DUR  33734X150  189    10983   SH        DEFINED    1     10983   0     0
FIRST TR EXCHANGE TRADED FD   NY ARCA BIOTECH 33733E203  241     7390   SH        DEFINED    1      7390   0     0
FIRST TR HIGH INCOME L/S FD   COM             33738E109  316    20664   SH        DEFINED    1     20664   0     0
FIRST TR ISE CHINDIA INDEX F  COM             33733A102  233    12856   SH        DEFINED    1     12856   0     0
FIRST TR ISE REVERE NAT GAS   COM             33734J102  227    12471   SH        DEFINED    1     12471   0     0
FIRST TR LRGE CP CORE ALPHA   COM SHS         33734K109  270     9931   SH        DEFINED    1      9931   0     0
FIRSTENERGY CORP              COM             337932107  637    14379   SH        DEFINED    1     14379   0     0
FIRSTENERGY CORP              CALL            337932907 2906    65600   SH   CALL DEFINED    1     65600   0     0
FIRSTENERGY CORP              PUT             337932957 2308    52100   SH   PUT  DEFINED    1     52100   0     0
FISERV INC                    COM             337738108  408     6951   SH        DEFINED    1      6951   0     0
FLEXTRONICS INTL LTD          ORD             Y2573F102  311    54899   SH        DEFINED    1     54899   0     0
FLIR SYS INC                  COM             302445101  389    15502   SH        DEFINED    1     15502   0     0
FLIR SYS INC                  CALL            302445901  341    13600   SH   CALL DEFINED    1     13600   0     0
FLOW INTL CORP                COM             343468104   55    15724   SH        DEFINED    1     15724   0     0
FLOWSERVE CORP                CALL            34354P905 2384    24000   SH   CALL DEFINED    1     24000   0     0
FLOWSERVE CORP                PUT             34354P955 2950    29700   SH   PUT  DEFINED    1     29700   0     0
FLUOR CORP NEW                CALL            343412902 2080    41400   SH   CALL DEFINED    1     41400   0     0
FLUOR CORP NEW                PUT             343412952 4271    85000   SH   PUT  DEFINED    1     85000   0     0
FMC TECHNOLOGIES INC          CALL            30249U901  475     9100   SH   CALL DEFINED    1      9100   0     0
FMC TECHNOLOGIES INC          PUT             30249U951  616    11800   SH   PUT  DEFINED    1     11800   0     0
FOCUS MEDIA HLDG LTD          SPONSORED ADR   34415V109  476    24443   SH        DEFINED    1     24443   0     0
FOOT LOCKER INC               CALL            344849904  672    28200   SH   CALL DEFINED    1     28200   0     0
FOOT LOCKER INC               PUT             344849954  436    18300   SH   PUT  DEFINED    1     18300   0     0
FORD MTR CO DEL               CALL            345370900 8032   746500   SH   CALL DEFINED    1    746500   0     0
FORD MTR CO DEL               PUT             345370950 7526   699400   SH   PUT  DEFINED    1    699400   0     0
FOREST LABS INC               COM             345838106  202     6688   SH        DEFINED    1      6688   0     0
FOREST LABS INC               CALL            345838906 2100    69400   SH   CALL DEFINED    1     69400   0     0
FOREST LABS INC               PUT             345838956 1204    39800   SH   PUT  DEFINED    1     39800   0     0
FOREST OIL CORP               CALL            346091905 1119    82600   SH   CALL DEFINED    1     82600   0     0
FOREST OIL CORP               PUT             346091955 1179    87000   SH   PUT  DEFINED    1     87000   0     0
FORMFACTOR INC                COM             346375108   53    10529   SH        DEFINED    1     10529   0     0
FORTINET INC                              PUT 34959E959  489    22400   SH   PUT  DEFINED    1     22400   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
FORTINET INC                  COM            34959E109   342   15703   SH        DEFINED    1     15703   0     0
FOSSIL INC                    COM            349882100  1530   19288   SH        DEFINED    1     19288   0     0
FOSSIL INC                    CALL           349882900  3389   42700   SH   CALL DEFINED    1     42700   0     0
FOSSIL INC                    PUT            349882950  3000   37800   SH   PUT  DEFINED    1     37800   0     0
FOSTER WHEELER AG             COM            H27178104   808   42208   SH        DEFINED    1     42208   0     0
FRANCE TELECOM                SPONSORED ADR  35177Q105   568   36263   SH        DEFINED    1     36263   0     0
FRANKLIN RES INC              CALL           354613901  3862   40200   SH   CALL DEFINED    1     40200   0     0
FRANKLIN RES INC              PUT            354613951  1470   15300   SH   PUT  DEFINED    1     15300   0     0
FREEPORT-MCMORAN COPPER & GO  COM            35671D857   315    8557   SH        DEFINED    1      8557   0     0
FREEPORT-MCMORAN COPPER & GO  CALL           35671D907 14256  387500   SH   CALL DEFINED    1    387500   0     0
FREEPORT-MCMORAN COPPER & GO  PUT            35671D957 18594  505400   SH   PUT  DEFINED    1    505400   0     0
FRONTIER COMMUNICATIONS CORP  COM            35906A108   390   75887   SH        DEFINED    1     75887   0     0
FRONTIER COMMUNICATIONS CORP  CALL           35906A908   373   72400   SH   CALL DEFINED    1     72400   0     0
FRONTIER COMMUNICATIONS CORP  PUT            35906A958   229   44500   SH   PUT  DEFINED    1     44500   0     0
FRONTLINE LTD                 SHS            G3682E127    98   22790   SH        DEFINED    1     22790   0     0
FRONTLINE LTD                 CALL           G3682E907   273   63600   SH   CALL DEFINED    1     63600   0     0
FRONTLINE LTD                 PUT            G3682E957    94   21900   SH   PUT  DEFINED    1     21900   0     0
FTI CONSULTING INC            CALL           302941909  2113   49800   SH   CALL DEFINED    1     49800   0     0
FTI CONSULTING INC            PUT            302941959  3928   92600   SH   PUT  DEFINED    1     92600   0     0
FUEL SYS SOLUTIONS INC        PUT            35952W953   356   21600   SH   PUT  DEFINED    1     21600   0     0
FUELCELL ENERGY INC           COM            35952H106    61   70575   SH        DEFINED    1     70575   0     0
FUSHI COPPERWELD INC          COM            36113E107    90   11913   SH        DEFINED    1     11913   0     0
FX ENERGY INC                 COM            302695101    58   12073   SH        DEFINED    1     12073   0     0
GABELLI DIVD & INCOME TR      COM            36242H104   207   13426   SH        DEFINED    1     13426   0     0
GABELLI EQUITY TR INC         COM            362397101    77   15455   SH        DEFINED    1     15455   0     0
GALENA BIOPHARMA              COM            363256108    21   45417   SH        DEFINED    1     45417   0     0
GALLAGHER ARTHUR J & CO       COM            363576109   676   20206   SH        DEFINED    1     20206   0     0
GAMESTOP CORP NEW             CALL           36467W909  3282  136000   SH   CALL DEFINED    1    136000   0     0
GAMESTOP CORP NEW             PUT            36467W959  1634   67700   SH   PUT  DEFINED    1     67700   0     0
GANNETT INC                   COM            364730101   244   18220   SH        DEFINED    1     18220   0     0
GANNETT INC                   CALL           364730901  1357  101500   SH   CALL DEFINED    1    101500   0     0
GANNETT INC                   PUT            364730951   361   27000   SH   PUT  DEFINED    1     27000   0     0
GAP INC DEL                   CALL           364760908  1141   61500   SH   CALL DEFINED    1     61500   0     0
GAP INC DEL                   PUT            364760958   436   23500   SH   PUT  DEFINED    1     23500   0     0
GARMIN LTD                    SHS            H2906T109   533   13377   SH        DEFINED    1     13377   0     0
GAZIT GLOBE LTD               SHS            M4793C102   108   11485   SH        DEFINED    1     11485   0     0
GENCO SHIPPING & TRADING LTD  SHS            Y2685T107   129   19017   SH        DEFINED    1     19017   0     0
GENCO SHIPPING & TRADING LTD  CALL           Y2685T907   154   22800   SH   CALL DEFINED    1     22800   0     0
GENERAL CABLE CORP DEL NEW    CALL           369300908   595   23800   SH   CALL DEFINED    1     23800   0     0
GENERAL CABLE CORP DEL NEW    PUT            369300958  1145   45800   SH   PUT  DEFINED    1     45800   0     0
GENERAL DYNAMICS CORP         CALL           369550908  3865   58200   SH   CALL DEFINED    1     58200   0     0
GENERAL DYNAMICS CORP         PUT            369550958  6794  102300   SH   PUT  DEFINED    1    102300   0     0
GENERAL ELECTRIC CO           CALL           369604903 12349  689500   SH   CALL DEFINED    1    689500   0     0
GENERAL ELECTRIC CO           PUT            369604953 12791  714200   SH   PUT  DEFINED    1    714200   0     0
GENERAL GROWTH PPTYS INC NEW  CALL           370023903   819   54500   SH   CALL DEFINED    1     54500   0     0
GENERAL GROWTH PPTYS INC NEW  PUT            370023953   545   36300   SH   PUT  DEFINED    1     36300   0     0
GENERAL MLS INC               CALL           370334904  3645   90200   SH   CALL DEFINED    1     90200   0     0
GENERAL MLS INC               PUT            370334954  3896   96400   SH   PUT  DEFINED    1     96400   0     0
GENERAL MTRS CO               JR PFD CNV SRB 37045V209   399   11651   SH        DEFINED    1     11651   0     0
GENERAL MTRS CO               CALL           37045V900 11268  555900   SH   CALL DEFINED    1    555900   0     0
GENERAL MTRS CO               PUT            37045V950  6034  297700   SH   PUT  DEFINED    1    297700   0     0
GENERAL STEEL HOLDINGS INC    COM            370853103    81   81318   SH        DEFINED    1     81318   0     0
GENETIC TECHNOLOGIES LTD      SPONSORED ADR  37185R109    33   10867   SH        DEFINED    1     10867   0     0
GENIE ENERGY LTD              CL B           372284208    88   11114   SH        DEFINED    1     11114   0     0
GENON ENERGY INC              PUT            37244E957    59   22700   SH   PUT  DEFINED    1     22700   0     0
GEN-PROBE INC NEW             COM            36866T103   540    9137   SH        DEFINED    1      9137   0     0
GENTIVA HEALTH SERVICES INC   COM            37247A102   108   15971   SH        DEFINED    1     15971   0     0
GENUINE PARTS CO              COM            372460105   399    6527   SH        DEFINED    1      6527   0     0
GENWORTH FINL INC             CALL           37247D906   436   66600   SH   CALL DEFINED    1     66600   0     0
GENWORTH FINL INC             PUT            37247D956   685  104600   SH   PUT  DEFINED    1    104600   0     0
GEOGLOBAL RESOURCES INC       COM            37249T109    11   46365   SH        DEFINED    1     46365   0     0






                                  ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   --------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                               
GEOKINETICS INC               COM PAR $0.01   372910307    32   14729   SH        DEFINED    1     14729   0     0
GEORESOURCES INC              COM             372476101   230    7853   SH        DEFINED    1      7853   0     0
GERDAU S A                    CALL            373737905   104   13300   SH   CALL DEFINED    1     13300   0     0
GERON CORP                    COM             374163103    15   10076   SH        DEFINED    1     10076   0     0
GILEAD SCIENCES INC           COM             375558103   674   16455   SH        DEFINED    1     16455   0     0
GILEAD SCIENCES INC           CALL            375558903  5575  136200   SH   CALL DEFINED    1    136200   0     0
GILEAD SCIENCES INC           PUT             375558953  4805  117400   SH   PUT  DEFINED    1    117400   0     0
GLACIER BANCORP INC NEW       COM             37637Q105   140   11688   SH        DEFINED    1     11688   0     0
GLAXOSMITHKLINE PLC           SPONSORED ADR   37733W105   644   14106   SH        DEFINED    1     14106   0     0
GLAXOSMITHKLINE PLC           CALL            37733W905  2309   50600   SH   CALL DEFINED    1     50600   0     0
GLAXOSMITHKLINE PLC           PUT             37733W955  1602   35100   SH   PUT  DEFINED    1     35100   0     0
GLOBAL CASH ACCESS HLDGS INC  COM             378967103    50   11268   SH        DEFINED    1     11268   0     0
GLOBAL GEOPHYSICAL SVCS INC   COM             37946S107   105   15649   SH        DEFINED    1     15649   0     0
GLOBAL X FDS                  BOLSA FTSE ETF  37950E200   281   15748   SH        DEFINED    1     15748   0     0
GLOBAL X FDS                  CHINA CONS ETF  37950E408   176   12829   SH        DEFINED    1     12829   0     0
GLOBAL X FDS                  GLB X URANIUM   37950E754   247   30347   SH        DEFINED    1     30347   0     0
GLOBALSTAR INC                COM             378973408     9   17547   SH        DEFINED    1     17547   0     0
GMX RES INC                   COM             38011M108   202  161457   SH        DEFINED    1    161457   0     0
GOLDCORP INC NEW              COM             380956409   648   14636   SH        DEFINED    1     14636   0     0
GOLDCORP INC NEW              CALL            380956909  1682   38000   SH   CALL DEFINED    1     38000   0     0
GOLDCORP INC NEW              PUT             380956959   633   14300   SH   PUT  DEFINED    1     14300   0     0
GOLDMAN SACHS GROUP INC       COM             38141G104  2333   25800   SH        DEFINED    1     25800   0     0
GOLDMAN SACHS GROUP INC       CALL            38141G904 29842  330000   SH   CALL DEFINED    1    330000   0     0
GOLDMAN SACHS GROUP INC       PUT             38141G954 31822  351900   SH   PUT  DEFINED    1    351900   0     0
GOODRICH CORP                 COM             382388106   270    2183   SH        DEFINED    1      2183   0     0
GOODRICH CORP                 PUT             382388956   359    2900   SH   PUT  DEFINED    1      2900   0     0
GOODRICH PETE CORP            PUT             382410955   214   15600   SH   PUT  DEFINED    1     15600   0     0
GOODYEAR TIRE & RUBR CO       COM             382550101   164   11601   SH        DEFINED    1     11601   0     0
GOODYEAR TIRE & RUBR CO       CALL            382550901  1903  134300   SH   CALL DEFINED    1    134300   0     0
GOODYEAR TIRE & RUBR CO       PUT             382550951  3924  276900   SH   PUT  DEFINED    1    276900   0     0
GOOGLE INC                    CL A            38259P508  5237    8109   SH        DEFINED    1      8109   0     0
GOOGLE INC                    CALL            38259P908 50057   77500   SH   CALL DEFINED    1     77500   0     0
GOOGLE INC                    PUT             38259P958 45536   70500   SH   PUT  DEFINED    1     70500   0     0
GOVERNMENT PPTYS INCOME TR    COM SHS BEN INT 38376A103   332   14713   SH        DEFINED    1     14713   0     0
GRACE W R & CO DEL NEW        CALL            38388F908   969   21100   SH   CALL DEFINED    1     21100   0     0
GRACE W R & CO DEL NEW        PUT             38388F958  3228   70300   SH   PUT  DEFINED    1     70300   0     0
GRAINGER W W INC              CALL            384802904   786    4200   SH   CALL DEFINED    1      4200   0     0
GRAINGER W W INC              PUT             384802954   655    3500   SH   PUT  DEFINED    1      3500   0     0
GRAMERCY CAP CORP             COM             384871109    50   19936   SH        DEFINED    1     19936   0     0
GRAY TELEVISION INC           COM             389375106    21   12963   SH        DEFINED    1     12963   0     0
GREAT NORTHN IRON ORE PPTYS   CTFS BEN INT    391064102   328    2978   SH        DEFINED    1      2978   0     0
GREEN MTN COFFEE ROASTERS IN  COM             393122106  2433   54276   SH        DEFINED    1     54276   0     0
GREEN MTN COFFEE ROASTERS IN  CALL            393122906  7019  156500   SH   CALL DEFINED    1    156500   0     0
GREEN MTN COFFEE ROASTERS IN  PUT             393122956  7970  177700   SH   PUT  DEFINED    1    177700   0     0
GROUPON INC                   COM CL A        399473107   239   11649   SH        DEFINED    1     11649   0     0
GT ADVANCED TECHNOLOGIES INC  COM             36191U106    86   11930   SH        DEFINED    1     11930   0     0
GTSI CORP                     COM             36238K103   111   26648   SH        DEFINED    1     26648   0     0
GUESS INC                     CALL            401617905  1810   60700   SH   CALL DEFINED    1     60700   0     0
GUESS INC                     PUT             401617955   981   32900   SH   PUT  DEFINED    1     32900   0     0
GUGGENHEIM BLD AMR BDS MNG D  COM             401664107   238   11170   SH        DEFINED    1     11170   0     0
GULF RESOURCES INC            COM PAR $0.0005 40251W309    22   12167   SH        DEFINED    1     12167   0     0
HAIN CELESTIAL GROUP INC      COM             405217100   589   16070   SH        DEFINED    1     16070   0     0
HALLIBURTON CO                CALL            406216901 13511  391500   SH   CALL DEFINED    1    391500   0     0
HALLIBURTON CO                PUT             406216951 10474  303500   SH   PUT  DEFINED    1    303500   0     0
HANCOCK JOHN INV TRUST        TAX ADV GLB SH  41013P749   124   10016   SH        DEFINED    1     10016   0     0
HANCOCK JOHN PATRIOT PREM II  COM SH BEN INT  41013T105   184   13650   SH        DEFINED    1     13650   0     0
HANESBRANDS INC               COM             410345102   336   15370   SH        DEFINED    1     15370   0     0
HANSEN MEDICAL INC            COM             411307101    51   19783   SH        DEFINED    1     19783   0     0
HANSEN NAT CORP               COM             411310105  1755   19050   SH        DEFINED    1     19050   0     0
HANWHA SOLARONE CO LTD        SPONSORED ADR   41135V103    48   50289   SH        DEFINED    1     50289   0     0
HARLEY DAVIDSON INC           CALL            412822908  2169   55800   SH   CALL DEFINED    1     55800   0     0






                                 ISSUER               VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION    CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                             
HARLEY DAVIDSON INC           PUT           412822958  1372   35300   SH   PUT  DEFINED    1     35300   0     0
HARMAN INTL INDS INC          CALL          413086909   491   12900   SH   CALL DEFINED    1     12900   0     0
HARMAN INTL INDS INC          PUT           413086959   928   24400   SH   PUT  DEFINED    1     24400   0     0
HARMONIC INC                  COM           413160102   102   20363   SH        DEFINED    1     20363   0     0
HARRIS CORP DEL               CALL          413875905   631   17500   SH   CALL DEFINED    1     17500   0     0
HARRIS CORP DEL               PUT           413875955   497   13800   SH   PUT  DEFINED    1     13800   0     0
HARTFORD FINL SVCS GROUP INC  DEP CONV PFD  416515708   265   14132   SH        DEFINED    1     14132   0     0
HARTFORD FINL SVCS GROUP INC  CALL          416515904  4254  261800   SH   CALL DEFINED    1    261800   0     0
HARTFORD FINL SVCS GROUP INC  PUT           416515954  1363   83900   SH   PUT  DEFINED    1     83900   0     0
HASBRO INC                    COM           418056107  1101   34512   SH        DEFINED    1     34512   0     0
HASBRO INC                    CALL          418056907  1818   57000   SH   CALL DEFINED    1     57000   0     0
HASBRO INC                    PUT           418056957  1945   61000   SH   PUT  DEFINED    1     61000   0     0
HATTERAS FINL CORP            COM           41902R103   241    9128   SH        DEFINED    1      9128   0     0
HATTERAS FINL CORP            CALL          41902R903   820   31100   SH   CALL DEFINED    1     31100   0     0
HATTERAS FINL CORP            PUT           41902R953   749   28400   SH   PUT  DEFINED    1     28400   0     0
HAUPPAUGE DIGITAL INC         COM           419131107     7   11538   SH        DEFINED    1     11538   0     0
HAWAIIAN HOLDINGS INC         COM           419879101    59   10271   SH        DEFINED    1     10271   0     0
HEALTH CARE REIT INC          COM           42217K106   204    3736   SH        DEFINED    1      3736   0     0
HEALTH CARE REIT INC          CALL          42217K906  2754   50500   SH   CALL DEFINED    1     50500   0     0
HEALTH CARE REIT INC          PUT           42217K956  1756   32200   SH   PUT  DEFINED    1     32200   0     0
HEALTH NET INC                PUT           42222G958   234    7700   SH   PUT  DEFINED    1      7700   0     0
HECLA MNG CO                  CALL          422704906  1130  216000   SH   CALL DEFINED    1    216000   0     0
HECLA MNG CO                  PUT           422704956  1127  215500   SH   PUT  DEFINED    1    215500   0     0
HEINZ H J CO                  COM           423074103   415    7673   SH        DEFINED    1      7673   0     0
HEINZ H J CO                  CALL          423074903  2794   51700   SH   CALL DEFINED    1     51700   0     0
HEINZ H J CO                  PUT           423074953  2091   38700   SH   PUT  DEFINED    1     38700   0     0
HELIX ENERGY SOLUTIONS GRP I  CALL          42330P907   335   21200   SH   CALL DEFINED    1     21200   0     0
HELIX ENERGY SOLUTIONS GRP I  PUT           42330P957   310   19600   SH   PUT  DEFINED    1     19600   0     0
HELMERICH & PAYNE INC         COM           423452101   411    7047   SH        DEFINED    1      7047   0     0
HELMERICH & PAYNE INC         CALL          423452901  1967   33700   SH   CALL DEFINED    1     33700   0     0
HELMERICH & PAYNE INC         PUT           423452951  2679   45900   SH   PUT  DEFINED    1     45900   0     0
HEMISPHERX BIOPHARMA INC      COM           42366C103     3   13079   SH        DEFINED    1     13079   0     0
HENRY JACK & ASSOC INC        COM           426281101   375   11171   SH        DEFINED    1     11171   0     0
HERBALIFE LTD                 COM USD SHS   G4412G101   285    5508   SH        DEFINED    1      5508   0     0
HERBALIFE LTD                 CALL          G4412G901  1199   23200   SH   CALL DEFINED    1     23200   0     0
HERBALIFE LTD                 PUT           G4412G951   512    9900   SH   PUT  DEFINED    1      9900   0     0
HERCULES OFFSHORE INC         COM           427093109   382   86167   SH        DEFINED    1     86167   0     0
HERCULES OFFSHORE INC         CALL          427093909   219   49400   SH   CALL DEFINED    1     49400   0     0
HERCULES OFFSHORE INC         PUT           427093959    52   11700   SH   PUT  DEFINED    1     11700   0     0
HERSHEY CO                    CALL          427866908   723   11700   SH   CALL DEFINED    1     11700   0     0
HERSHEY CO                    PUT           427866958  1186   19200   SH   PUT  DEFINED    1     19200   0     0
HERTZ GLOBAL HOLDINGS INC     CALL          42805T905   457   39000   SH   CALL DEFINED    1     39000   0     0
HERTZ GLOBAL HOLDINGS INC     PUT           42805T955   273   23300   SH   PUT  DEFINED    1     23300   0     0
HESS CORP                     CALL          42809H907  3874   68200   SH   CALL DEFINED    1     68200   0     0
HESS CORP                     PUT           42809H957  4771   84000   SH   PUT  DEFINED    1     84000   0     0
HEWLETT PACKARD CO            CALL          428236903 14315  555700   SH   CALL DEFINED    1    555700   0     0
HEWLETT PACKARD CO            PUT           428236953 15863  615800   SH   PUT  DEFINED    1    615800   0     0
HEXCEL CORP NEW               COM           428291108   208    8612   SH        DEFINED    1      8612   0     0
HIBBETT SPORTS INC            COM           428567101   347    7673   SH        DEFINED    1      7673   0     0
HIGHPOWER INTL INC            COM           43113X101    12   12617   SH        DEFINED    1     12617   0     0
HIMAX TECHNOLOGIES INC        SPONSORED ADR 43289P106    32   32422   SH        DEFINED    1     32422   0     0
HITTITE MICROWAVE CORP        COM           43365Y104   249    5045   SH        DEFINED    1      5045   0     0
HMS HLDGS CORP                COM           40425J101   352   11014   SH        DEFINED    1     11014   0     0
HOKU CORP                     COM           434711107     6   11336   SH        DEFINED    1     11336   0     0
HOLLYFRONTIER CORP            COM           436106108   280   11979   SH        DEFINED    1     11979   0     0
HOLLYFRONTIER CORP            CALL          436106908  1528   65300   SH   CALL DEFINED    1     65300   0     0
HOLLYFRONTIER CORP            PUT           436106958   875   37400   SH   PUT  DEFINED    1     37400   0     0
HOLOGIC INC                   COM           436440101   239   13641   SH        DEFINED    1     13641   0     0
HOME DEPOT INC                CALL          437076902  9585  228000   SH   CALL DEFINED    1    228000   0     0
HOME DEPOT INC                PUT           437076952 13440  319700   SH   PUT  DEFINED    1    319700   0     0
HOME INNS & HOTELS MGMT INC   SPON ADR      43713W107   220    8530   SH        DEFINED    1      8530   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
HONDA MOTOR LTD               AMERN SHS        438128308  887    29030   SH        DEFINED    1     29030   0     0
HONEYWELL INTL INC            CALL             438516906 4000    73600   SH   CALL DEFINED    1     73600   0     0
HONEYWELL INTL INC            PUT              438516956 7832   144100   SH   PUT  DEFINED    1    144100   0     0
HOSPITALITY PPTYS TR          CALL             44106M902  839    36500   SH   CALL DEFINED    1     36500   0     0
HOST HOTELS & RESORTS INC     CALL             44107P904 1010    68400   SH   CALL DEFINED    1     68400   0     0
HOST HOTELS & RESORTS INC     PUT              44107P954 1883   127500   SH   PUT  DEFINED    1    127500   0     0
HOT TOPIC INC                 COM              441339108  115    17446   SH        DEFINED    1     17446   0     0
HOVNANIAN ENTERPRISES INC     CL A             442487203   26    17737   SH        DEFINED    1     17737   0     0
HSBC HLDGS PLC                SPON ADR NEW     404280406 1277    33523   SH        DEFINED    1     33523   0     0
HSBC HLDGS PLC                CALL             404280906 2892    75900   SH   CALL DEFINED    1     75900   0     0
HSBC HLDGS PLC                PUT              404280956 3684    96700   SH   PUT  DEFINED    1     96700   0     0
HSN INC                       CALL             404303909  461    12700   SH   CALL DEFINED    1     12700   0     0
HUDSON CITY BANCORP           CALL             443683907  466    74600   SH   CALL DEFINED    1     74600   0     0
HUDSON CITY BANCORP           PUT              443683957  167    26700   SH   PUT  DEFINED    1     26700   0     0
HUGOTON RTY TR TEX            UNIT BEN INT     444717102  279    14796   SH        DEFINED    1     14796   0     0
HUMAN GENOME SCIENCES INC     COM              444903108  370    50138   SH        DEFINED    1     50138   0     0
HUMANA INC                    COM              444859102  989    11292   SH        DEFINED    1     11292   0     0
HUMANA INC                    CALL             444859902 3469    39600   SH   CALL DEFINED    1     39600   0     0
HUMANA INC                    PUT              444859952 7000    79900   SH   PUT  DEFINED    1     79900   0     0
HUNT J B TRANS SVCS INC       COM              445658107  379     8407   SH        DEFINED    1      8407   0     0
HUNTINGTON BANCSHARES INC     COM              446150104  240    43745   SH        DEFINED    1     43745   0     0
HUNTINGTON BANCSHARES INC     CALL             446150904  477    86900   SH   CALL DEFINED    1     86900   0     0
HUNTINGTON BANCSHARES INC     PUT              446150954  189    34400   SH   PUT  DEFINED    1     34400   0     0
HUNTSMAN CORP                 CALL             447011907  742    74200   SH   CALL DEFINED    1     74200   0     0
HUNTSMAN CORP                 PUT              447011957  491    49100   SH   PUT  DEFINED    1     49100   0     0
HUTCHINSON TECHNOLOGY INC     COM              448407106   68    45625   SH        DEFINED    1     45625   0     0
IAC INTERACTIVECORP           COM PAR $.001    44919P508  240     5632   SH        DEFINED    1      5632   0     0
IAMGOLD CORP                  CALL             450913908  369    23300   SH   CALL DEFINED    1     23300   0     0
IAMGOLD CORP                  PUT              450913958  204    12900   SH   PUT  DEFINED    1     12900   0     0
ICICI BK LTD                  CALL             45104G904 1697    64200   SH   CALL DEFINED    1     64200   0     0
ICICI BK LTD                  PUT              45104G954 2241    84800   SH   PUT  DEFINED    1     84800   0     0
ICON PUB LTD CO               SPONSORED ADR    45103T107  203    11876   SH        DEFINED    1     11876   0     0
IDENIX PHARMACEUTICALS INC    COM              45166R204   87    11703   SH        DEFINED    1     11703   0     0
IDEXX LABS INC                COM              45168D104 1289    16757   SH        DEFINED    1     16757   0     0
IFM INVTS LTD                 ADS              45172L100    3    10357   SH        DEFINED    1     10357   0     0
IGO INC                       COM              449593102   10    13289   SH        DEFINED    1     13289   0     0
IKANOS COMMUNICATIONS         COM              45173E105   10    12458   SH        DEFINED    1     12458   0     0
ILLINOIS TOOL WKS INC         CALL             452308909 5731   122700   SH   CALL DEFINED    1    122700   0     0
ILLINOIS TOOL WKS INC         PUT              452308959 1658    35500   SH   PUT  DEFINED    1     35500   0     0
IMMUNOGEN INC                 COM              45253H101  196    16937   SH        DEFINED    1     16937   0     0
IMPERIAL HLDGS INC            COM              452834104   21    10982   SH        DEFINED    1     10982   0     0
IMPERIAL SUGAR CO NEW         COM NEW          453096208   47    13341   SH        DEFINED    1     13341   0     0
INCYTE CORP                   COM              45337C102  202    13484   SH        DEFINED    1     13484   0     0
INDIA GLOBALIZATION CAP INC   *W EXP 03/03/201 45408X118    1    72655   SH        DEFINED    1     72655   0     0
INERGY L P                    UNIT LTD PTNR    456615103  526    21530   SH        DEFINED    1     21530   0     0
INFINERA CORPORATION          COM              45667G103  199    31816   SH        DEFINED    1     31816   0     0
INFINERA CORPORATION          CALL             45667G903  138    22000   SH   CALL DEFINED    1     22000   0     0
INFINERA CORPORATION          PUT              45667G953  259    41200   SH   PUT  DEFINED    1     41200   0     0
INFORMATICA CORP              COM              45666Q102  516    13963   SH        DEFINED    1     13963   0     0
INFORMATICA CORP              CALL             45666Q902  502    13600   SH   CALL DEFINED    1     13600   0     0
INFORMATICA CORP              PUT              45666Q952  816    22100   SH   PUT  DEFINED    1     22100   0     0
INFOSYS TECHNOLOGIES LTD      SPONSORED ADR    456788108  813    15835   SH        DEFINED    1     15835   0     0
INFOSYS TECHNOLOGIES LTD      PUT              456788958  421     8200   SH   PUT  DEFINED    1      8200   0     0
ING GLOBAL EQTY DIV & PREM O  COM              45684E107  246    28523   SH        DEFINED    1     28523   0     0
ING GROEP N V                 SPONSORED ADR    456837103  101    14122   SH        DEFINED    1     14122   0     0
ING GROEP N V                 CALL             456837903  392    54700   SH   CALL DEFINED    1     54700   0     0
ING GROEP N V                 PUT              456837953  453    63200   SH   PUT  DEFINED    1     63200   0     0
ING PRIME RATE TR             SH BEN INT       44977W106   73    14216   SH        DEFINED    1     14216   0     0
ING RISK MANAGED NAT RES FD   COM              449810100  145    12723   SH        DEFINED    1     12723   0     0
INGRAM MICRO INC              CL A             457153104  345    18960   SH        DEFINED    1     18960   0     0
INTEGRA LIFESCIENCES HLDGS C  COM NEW          457985208  219     7108   SH        DEFINED    1      7108   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE   SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------- ------ ----
                                                                                 
INTEGRATED DEVICE
 TECHNOLOGY                   COM              458118106   379   69513   SH        DEFINED    1      69513   0     0
INTEL CORP                    CALL             458140900 19325  796900   SH   CALL DEFINED    1     796900   0     0
INTEL CORP                    PUT              458140950 29767 1227500   SH   PUT  DEFINED    1    1227500   0     0
INTERACTIVE BROKERS GROUP IN  COM              45841N107   375   25086   SH        DEFINED    1      25086   0     0
INTERACTIVE BROKERS GROUP IN  CALL             45841N907   326   21800   SH   CALL DEFINED    1      21800   0     0
INTERACTIVE BROKERS GROUP IN  PUT              45841N957  1803  120700   SH   PUT  DEFINED    1     120700   0     0
INTERCONTINENTALEXCHANGE
 INC                          CALL             45865V900  3749   31100   SH   CALL DEFINED    1      31100   0     0
INTERCONTINENTALEXCHANGE
 INC                          PUT              45865V950  3761   31200   SH   PUT  DEFINED    1      31200   0     0
INTERDIGITAL INC              COM              45867G101   387    8892   SH        DEFINED    1       8892   0     0
INTERDIGITAL INC              CALL             45867G901  1621   37200   SH   CALL DEFINED    1      37200   0     0
INTERDIGITAL INC              PUT              45867G951  1011   23200   SH   PUT  DEFINED    1      23200   0     0
INTERMUNE INC                 COM              45884X103   165   13084   SH        DEFINED    1      13084   0     0
INTERNATIONAL BUSINESS
 MACHS                        COM              459200101  2524   13727   SH        DEFINED    1      13727   0     0
INTERNATIONAL BUSINESS
 MACHS                        CALL             459200901 15391   83700   SH   CALL DEFINED    1      83700   0     0
INTERNATIONAL BUSINESS
 MACHS                        PUT              459200951 28796  156600   SH   PUT  DEFINED    1     156600   0     0
INTERNATIONAL GAME
 TECHNOLOG                    CALL             459902902   642   37300   SH   CALL DEFINED    1      37300   0     0
INTERPUBLIC GROUP COS INC     CALL             460690900   191   19600   SH   CALL DEFINED    1      19600   0     0
INTERSIL CORP                 CL A             46069S109   378   36262   SH        DEFINED    1      36262   0     0
INTL PAPER CO                 CALL             460146903  4564  154200   SH   CALL DEFINED    1     154200   0     0
INTL PAPER CO                 PUT              460146953  8075  272800   SH   PUT  DEFINED    1     272800   0     0
INTREPID POTASH INC           COM              46121Y102   234   10337   SH        DEFINED    1      10337   0     0
INTREPID POTASH INC           CALL             46121Y902  1127   49800   SH   CALL DEFINED    1      49800   0     0
INTREPID POTASH INC           PUT              46121Y952  1358   60000   SH   PUT  DEFINED    1      60000   0     0
INTUIT                        COM              461202103   935   17773   SH        DEFINED    1      17773   0     0
INTUIT                        CALL             461202903  1778   33800   SH   CALL DEFINED    1      33800   0     0
INTUIT                        PUT              461202953  3829   72800   SH   PUT  DEFINED    1      72800   0     0
INTUITIVE SURGICAL INC        COM NEW          46120E602  1622    3503   SH        DEFINED    1       3503   0     0
INTUITIVE SURGICAL INC        CALL             46120E902  5139   11100   SH   CALL DEFINED    1      11100   0     0
INTUITIVE SURGICAL INC        PUT              46120E952  5186   11200   SH   PUT  DEFINED    1      11200   0     0
INVESCO LTD                   CALL             G491BT908   510   25400   SH   CALL DEFINED    1      25400   0     0
INVESCO MORTGAGE CAPITAL INC  COM              46131B100   303   21550   SH        DEFINED    1      21550   0     0
INVESCO MORTGAGE CAPITAL INC  CALL             46131B900   181   12900   SH   CALL DEFINED    1      12900   0     0
INVESCO MORTGAGE CAPITAL INC  PUT              46131B950   322   22900   SH   PUT  DEFINED    1      22900   0     0
INVESCO VAN KAMPEN SR INC TR  COM              46131H107    45   10398   SH        DEFINED    1      10398   0     0
INVESCO VAN KAMPEN TR INVT G  COM              46131M106   186   12421   SH        DEFINED    1      12421   0     0
IPG PHOTONICS CORP            COM              44980X109   728   21497   SH        DEFINED    1      21497   0     0
IRELAND BK                    SPNSRD ADR NEW   46267Q202    77   18220   SH        DEFINED    1      18220   0     0
IRON MTN INC                  PUT              462846956   397   12900   SH   PUT  DEFINED    1      12900   0     0
ISHARES COMEX GOLD TR         ISHARES          464285105   155   10193   SH        DEFINED    1      10193   0     0
ISHARES DIVERSIFIED ALTR TR   SH BEN INT       464294107   209    4294   SH        DEFINED    1       4294   0     0
ISHARES INC                   MSCI THAILAND    464286624   324    5394   SH        DEFINED    1       5394   0     0
ISHARES INC                   MSCI PAC J IDX   464286665   436   11191   SH        DEFINED    1      11191   0     0
ISHARES INC                   MSCI SINGAPORE   464286673   163   15063   SH        DEFINED    1      15063   0     0
ISHARES INC                   MSCI UTD KINGD   464286699   277   17124   SH        DEFINED    1      17124   0     0
ISHARES INC                   MSCI TURKEY FD   464286715   324    7865   SH        DEFINED    1       7865   0     0
ISHARES INC                   MSCI MALAYSIA    464286830   138   10311   SH        DEFINED    1      10311   0     0
ISHARES INC                   MSCI JAPAN       464286848   231   25324   SH        DEFINED    1      25324   0     0
ISHARES INC                   CALL             464286900  6043  105300   SH   CALL DEFINED    1     105300   0     0
ISHARES INC                   CALL             464286901   190   16200   SH   CALL DEFINED    1      16200   0     0
ISHARES INC                   PUT              464286950  6428  112000   SH   PUT  DEFINED    1     112000   0     0
ISHARES SILVER TRUST          CALL             46428Q909  2993  111100   SH   CALL DEFINED    1     111100   0     0
ISHARES SILVER TRUST          PUT              46428Q959  1552   57600   SH   PUT  DEFINED    1      57600   0     0
ISHARES TR                    S&P CITINT TBD   464288117   666    6683   SH        DEFINED    1       6683   0     0
ISHARES TR                    S&PCITI1-3YRTB   464288125  4964   51440   SH        DEFINED    1      51440   0     0
ISHARES TR                    MSCI ACWI INDX   464288257   317    7523   SH        DEFINED    1       7523   0     0
ISHARES TR                    S&P NTL AMTFREE  464288414   513    4736   SH        DEFINED    1       4736   0     0
ISHARES TR                    EPRA/NAR DEV EUR 464288471   216    8761   SH        DEFINED    1       8761   0     0
ISHARES TR                    EPRA/NAR DEV R/E 464288489   576   22823   SH        DEFINED    1      22823   0     0
ISHARES TR                    DEV SM CP EX-N   464288497  2542   82946   SH        DEFINED    1      82946   0     0
ISHARES TR                    SMLL CORE INDX   464288505   287    3423   SH        DEFINED    1       3423   0     0
ISHARES TR                    S&P INDIA 50     464289529   459   23289   SH        DEFINED    1      23289   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
ISHARES TR                    MRTG PLS CAP IDX 464288539  143    11314   SH        DEFINED    1     11314   0     0
ISHARES TR                    BARCLYS 1-3YR CR 464288646  205     1967   SH        DEFINED    1      1967   0     0
ISHARES TR                    US PFD STK IDX   464288687  849    23822   SH        DEFINED    1     23822   0     0
ISHARES TR                    S&P GL INDUSTR   464288729  262     5438   SH        DEFINED    1      5438   0     0
ISHARES TR                    MSCI VAL IDX     464288877  218     5115   SH        DEFINED    1      5115   0     0
ISHARES TR INDEX              S&P 100 IDX FD   464287101  563     9865   SH        DEFINED    1      9865   0     0
ISHARES TR INDEX              BARCLY USAGG B   464287226  470     4264   SH        DEFINED    1      4264   0     0
ISHARES TR INDEX              MSCI EMERG MKT   464287234  591    15569   SH        DEFINED    1     15569   0     0
ISHARES TR INDEX              S&P 500 VALUE    464287408  549     9501   SH        DEFINED    1      9501   0     0
ISHARES TR INDEX              BARCLYS 20+ YR   464287432  209     1722   SH        DEFINED    1      1722   0     0
ISHARES TR INDEX              BARCLYS 7-10 YR  464287440  639     6057   SH        DEFINED    1      6057   0     0
ISHARES TR INDEX              RUSSELL MCP GR   464287481  252     4579   SH        DEFINED    1      4579   0     0
ISHARES TR INDEX              S&P NA SOFTWR    464287515  374     6902   SH        DEFINED    1      6902   0     0
ISHARES TR INDEX              S&P NA SEMICND   464287523  692    14005   SH        DEFINED    1     14005   0     0
ISHARES TR INDEX              S&P NA MULTIMD   464287531  224     8172   SH        DEFINED    1      8172   0     0
ISHARES TR INDEX              S&P NA TECH FD   464287549  220     3699   SH        DEFINED    1      3699   0     0
ISHARES TR INDEX              NASDQ BIO INDX   464287556  430     4119   SH        DEFINED    1      4119   0     0
ISHARES TR INDEX              S&P GLB100INDX   464287572  228     3932   SH        DEFINED    1      3932   0     0
ISHARES TR INDEX              RUSSELL 1000     464287622  468     6746   SH        DEFINED    1      6746   0     0
ISHARES TR INDEX              RUSL 2000 VALU   464287630  441     6715   SH        DEFINED    1      6715   0     0
ISHARES TR INDEX              RUSL 2000 GROW   464287648  872    10349   SH        DEFINED    1     10349   0     0
ISHARES TR INDEX              RUSSELL 2000     464287655 3023    41017   SH        DEFINED    1     41017   0     0
ISHARES TR INDEX              DJ US HEALTHCR   464287762  421     5883   SH        DEFINED    1      5883   0     0
ISHARES TR INDEX              S&P SMLCAP 600   464287804  776    11369   SH        DEFINED    1     11369   0     0
ISHARES TR INDEX              DJ US BAS MATL   464287838  286     4446   SH        DEFINED    1      4446   0     0
ISHARES TR INDEX              CALL             464287905 8349   113300   SH   CALL DEFINED    1    113300   0     0
ISHARES TR INDEX              CALL             464287905 5716   115400   SH   CALL DEFINED    1    115400   0     0
ISHARES TR INDEX              CALL             464287904 6321   166600   SH   CALL DEFINED    1    166600   0     0
ISHARES TR INDEX              CALL             464287909  687    12100   SH   CALL DEFINED    1     12100   0     0
ISHARES TR INDEX              PUT              464287955 6433    87300   SH   PUT  DEFINED    1     87300   0     0
ISHARES TR INDEX              PUT              464287955 6028   121700   SH   PUT  DEFINED    1    121700   0     0
ISHARES TR INDEX              PUT              464287954 5995   158000   SH   PUT  DEFINED    1    158000   0     0
ISHARES TR INDEX              PUT              464287959  602    10600   SH   PUT  DEFINED    1     10600   0     0
ISORAY INC                    COM              46489V104    8    12495   SH        DEFINED    1     12495   0     0
ISTAR FINL INC                PUT              45031U951   71    13400   SH   PUT  DEFINED    1     13400   0     0
ITAU UNIBANCO HLDG SA         CALL             465562906 3209   172900   SH   CALL DEFINED    1    172900   0     0
ITAU UNIBANCO HLDG SA         PUT              465562956 1366    73600   SH   PUT  DEFINED    1     73600   0     0
ITC HLDGS CORP                COM              465685105  207     2731   SH        DEFINED    1      2731   0     0
ITRON INC                     CALL             465741906  365    10200   SH   CALL DEFINED    1     10200   0     0
ITRON INC                     PUT              465741956  873    24400   SH   PUT  DEFINED    1     24400   0     0
ITT CORP NEW                  COM NEW          450911201  306    15853   SH        DEFINED    1     15853   0     0
ITT CORP NEW                  CALL             450911901  220    11400   SH   CALL DEFINED    1     11400   0     0
ITT EDUCATIONAL SERVICES INC  COM              45068B109  364     6407   SH        DEFINED    1      6407   0     0
ITT EDUCATIONAL SERVICES INC  CALL             45068B909 2281    40100   SH   CALL DEFINED    1     40100   0     0
ITT EDUCATIONAL SERVICES INC  PUT              45068B959 1769    31100   SH   PUT  DEFINED    1     31100   0     0
IVANHOE ENERGY INC            COM              465790103   17    15623   SH        DEFINED    1     15623   0     0
IVANHOE MINES LTD             CALL             46579N903  335    18900   SH   CALL DEFINED    1     18900   0     0
IVANHOE MINES LTD             PUT              46579N953  730    41200   SH   PUT  DEFINED    1     41200   0     0
JA SOLAR HOLDINGS CO LTD      SPON ADR         466090107   21    15905   SH        DEFINED    1     15905   0     0
JA SOLAR HOLDINGS CO LTD      PUT              466090957   25    18900   SH   PUT  DEFINED    1     18900   0     0
JABIL CIRCUIT INC             CALL             466313903  869    44200   SH   CALL DEFINED    1     44200   0     0
JABIL CIRCUIT INC             PUT              466313953  647    32900   SH   PUT  DEFINED    1     32900   0     0
JACOBS ENGR GROUP INC DEL     CALL             469814907 1132    27900   SH   CALL DEFINED    1     27900   0     0
JACOBS ENGR GROUP INC DEL     PUT              469814957 1445    35600   SH   PUT  DEFINED    1     35600   0     0
JAMBA INC                     COM              47023A101   22    17135   SH        DEFINED    1     17135   0     0
JAMES RIVER COAL CO           COM NEW          470355207  205    29747   SH        DEFINED    1     29747   0     0
JAMES RIVER COAL CO           CALL             470355907  142    20500   SH   CALL DEFINED    1     20500   0     0
JAMES RIVER COAL CO           PUT              470355957  227    32800   SH   PUT  DEFINED    1     32800   0     0
JARDEN CORP                   PUT              471109958  269     9000   SH   PUT  DEFINED    1      9000   0     0
JDS UNIPHASE CORP             CALL             46612J907  598    57300   SH   CALL DEFINED    1     57300   0     0
JDS UNIPHASE CORP             PUT              46612J957  931    89200   SH   PUT  DEFINED    1     89200   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
JEFFERIES GROUP INC NEW       COM              472319102   628   45690   SH        DEFINED    1     45690   0     0
JEFFERIES GROUP INC NEW       CALL             472319902   234   17000   SH   CALL DEFINED    1     17000   0     0
JEFFERIES GROUP INC NEW       PUT              472319952  1294   94100   SH   PUT  DEFINED    1     94100   0     0
JOES JEANS INC                COM              47777N101    91  174385   SH        DEFINED    1    174385   0     0
JOHNSON & JOHNSON             COM              478160104   411    6271   SH        DEFINED    1      6271   0     0
JOHNSON & JOHNSON             CALL             478160904 15497  236300   SH   CALL DEFINED    1    236300   0     0
JOHNSON & JOHNSON             PUT              478160954 11083  169000   SH   PUT  DEFINED    1    169000   0     0
JOHNSON CTLS INC              CALL             478366907  2851   91200   SH   CALL DEFINED    1     91200   0     0
JOHNSON CTLS INC              PUT              478366957  2607   83400   SH   PUT  DEFINED    1     83400   0     0
JONES SODA CO                 COM              48023P106    16   43817   SH        DEFINED    1     43817   0     0
JOS A BANK CLOTHIERS INC      COM              480838101   459    9412   SH        DEFINED    1      9412   0     0
JOY GLOBAL INC                COM              481165108  1563   20844   SH        DEFINED    1     20844   0     0
JOY GLOBAL INC                CALL             481165908  2084   27800   SH   CALL DEFINED    1     27800   0     0
JOY GLOBAL INC                PUT              481165958  2774   37000   SH   PUT  DEFINED    1     37000   0     0
JPMORGAN CHASE & CO           COM              46625H100   563   16925   SH        DEFINED    1     16925   0     0
JPMORGAN CHASE & CO           *W EXP 10/28/201 46634E114   169   19834   SH        DEFINED    1     19834   0     0
JPMORGAN CHASE & CO           CALL             46625H900 17443  524600   SH   CALL DEFINED    1    524600   0     0
JPMORGAN CHASE & CO           PUT              46625H950 28126  845900   SH   PUT  DEFINED    1    845900   0     0
JUNIPER NETWORKS INC          CALL             48203R904  3878  190000   SH   CALL DEFINED    1    190000   0     0
JUNIPER NETWORKS INC          PUT              48203R954  3113  152500   SH   PUT  DEFINED    1    152500   0     0
K V PHARMACEUTICAL CO         CL A             482740206    39   28031   SH        DEFINED    1     28031   0     0
KANSAS CITY SOUTHERN          CALL             485170902   843   12400   SH   CALL DEFINED    1     12400   0     0
KANSAS CITY SOUTHERN          PUT              485170952  1761   25900   SH   PUT  DEFINED    1     25900   0     0
KB HOME                       COM              48666K109   108   16036   SH        DEFINED    1     16036   0     0
KB HOME                       CALL             48666K909   459   68300   SH   CALL DEFINED    1     68300   0     0
KB HOME                       PUT              48666K959   350   52100   SH   PUT  DEFINED    1     52100   0     0
KBR INC                       CALL             48242W906   574   20600   SH   CALL DEFINED    1     20600   0     0
KBR INC                       PUT              48242W956   761   27300   SH   PUT  DEFINED    1     27300   0     0
KELLOGG CO                    CALL             487836908  4258   84200   SH   CALL DEFINED    1     84200   0     0
KELLOGG CO                    PUT              487836958  3378   66800   SH   PUT  DEFINED    1     66800   0     0
KEYCORP NEW                   CALL             493267908   289   37600   SH   CALL DEFINED    1     37600   0     0
KEYCORP NEW                   PUT              493267958   433   56300   SH   PUT  DEFINED    1     56300   0     0
KIMBALL INTL INC              CL B             494274103    54   10641   SH        DEFINED    1     10641   0     0
KIMBER RES INC                COM              49435N101    10   11293   SH        DEFINED    1     11293   0     0
KIMBERLY CLARK CORP           CALL             494368903 10070  136900   SH   CALL DEFINED    1    136900   0     0
KIMBERLY CLARK CORP           PUT              494368953  6679   90800   SH   PUT  DEFINED    1     90800   0     0
KINDER MORGAN ENERGY PARTNER  UT LTD PARTNER   494550106   247    2906   SH        DEFINED    1      2906   0     0
KINDER MORGAN ENERGY PARTNER  CALL             494550906   272    3200   SH   CALL DEFINED    1      3200   0     0
KINDER MORGAN ENERGY PARTNER  PUT              494550956  2667   31400   SH   PUT  DEFINED    1     31400   0     0
KINROSS GOLD CORP             COM NO PAR       496902404   162   14196   SH        DEFINED    1     14196   0     0
KINROSS GOLD CORP             CALL             496902904   502   44000   SH   CALL DEFINED    1     44000   0     0
KIT DIGITAL INC               COM NEW          482470200   250   29658   SH        DEFINED    1     29658   0     0
KITE RLTY GROUP TR            COM              49803T102    48   10627   SH        DEFINED    1     10627   0     0
KKR & CO L P DEL COM          UNITS            48248M102   187   14537   SH        DEFINED    1     14537   0     0
KKR FINANCIAL HLDGS LLC       CALL             48248A906   116   13300   SH   CALL DEFINED    1     13300   0     0
KKR FINANCIAL HLDGS LLC       PUT              48248A956   157   18000   SH   PUT  DEFINED    1     18000   0     0
KLA-TENCOR CORP               COM              482480100   764   15834   SH        DEFINED    1     15834   0     0
KLA-TENCOR CORP               CALL             482480900  4111   85200   SH   CALL DEFINED    1     85200   0     0
KLA-TENCOR CORP               PUT              482480950 10301  213500   SH   PUT  DEFINED    1    213500   0     0
KOBEX MINERALS INC            COM              49989C105    11   18284   SH        DEFINED    1     18284   0     0
KOHLS CORP                    COM              500255104   234    4740   SH        DEFINED    1      4740   0     0
KOHLS CORP                    CALL             500255904  2581   52300   SH   CALL DEFINED    1     52300   0     0
KOHLS CORP                    PUT              500255954  5049  102300   SH   PUT  DEFINED    1    102300   0     0
KONINKLIJKE PHILIPS ELECTRS   NY REG SH NEW    500472303   823   39291   SH        DEFINED    1     39291   0     0
KRAFT FOODS INC               CALL             50075N904  2369   63400   SH   CALL DEFINED    1     63400   0     0
KRAFT FOODS INC               PUT              50075N954  4655  124600   SH   PUT  DEFINED    1    124600   0     0
KRATON PERFORMANCE POLYMERS   COM              50077C106   326   16054   SH        DEFINED    1     16054   0     0
KROGER CO                     COM              501044101   347   14316   SH        DEFINED    1     14316   0     0
KROGER CO                     CALL             501044901   608   25100   SH   CALL DEFINED    1     25100   0     0
KROGER CO                     PUT              501044951  1015   41900   SH   PUT  DEFINED    1     41900   0     0
KULICKE & SOFFA INDS INC      COM              501242101   327   35360   SH        DEFINED    1     35360   0     0






                                 ISSUER               VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION    CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                             
L & L ENERGY INC              COM           50162D100    44   17117   SH        DEFINED    1     17117   0     0
L-3 COMMUNICATIONS HLDGS INC  CALL          502424904  1220   18300   SH   CALL DEFINED    1     18300   0     0
L-3 COMMUNICATIONS HLDGS INC  PUT           502424954  1540   23100   SH   PUT  DEFINED    1     23100   0     0
LABORATORY CORP AMER HLDGS    COM NEW       50540R409   378    4399   SH        DEFINED    1      4399   0     0
LABORATORY CORP AMER HLDGS    CALL          50540R909   946   11000   SH   CALL DEFINED    1     11000   0     0
LABORATORY CORP AMER HLDGS    PUT           50540R959  1969   22900   SH   PUT  DEFINED    1     22900   0     0
LACLEDE GROUP INC             COM           505597104   231    5708   SH        DEFINED    1      5708   0     0
LADENBURG THALMAN FIN SVCS I  COM           50575Q102    27   10784   SH        DEFINED    1     10784   0     0
LAM RESEARCH CORP             COM           512807108   568   15349   SH        DEFINED    1     15349   0     0
LAM RESEARCH CORP             CALL          512807908  3065   82800   SH   CALL DEFINED    1     82800   0     0
LAM RESEARCH CORP             PUT           512807958  4953  133800   SH   PUT  DEFINED    1    133800   0     0
LAMAR ADVERTISING CO          CL A          512815101   713   25932   SH        DEFINED    1     25932   0     0
LANCASTER COLONY CORP         COM           513847103   225    3240   SH        DEFINED    1      3240   0     0
LAS VEGAS SANDS CORP          COM           517834107   930   21770   SH        DEFINED    1     21770   0     0
LAS VEGAS SANDS CORP          CALL          517834907 13943  326300   SH   CALL DEFINED    1    326300   0     0
LAS VEGAS SANDS CORP          PUT           517834957 15695  367300   SH   PUT  DEFINED    1    367300   0     0
LATTICE SEMICONDUCTOR CORP    COM           518415104   162   27281   SH        DEFINED    1     27281   0     0
LAUDER ESTEE COS INC          CL A          518439104   247    2200   SH        DEFINED    1      2200   0     0
LAUDER ESTEE COS INC          CALL          518439904  2786   24800   SH   CALL DEFINED    1     24800   0     0
LAUDER ESTEE COS INC          PUT           518439954  4807   42800   SH   PUT  DEFINED    1     42800   0     0
LDK SOLAR CO LTD              SPONSORED ADR 50183L107   246   58677   SH        DEFINED    1     58677   0     0
LEAP WIRELESS INTL INC        COM NEW       521863308   512   55153   SH        DEFINED    1     55153   0     0
LEAP WIRELESS INTL INC        CALL          521863908   912   98200   SH   CALL DEFINED    1     98200   0     0
LEAP WIRELESS INTL INC        PUT           521863958   227   24400   SH   PUT  DEFINED    1     24400   0     0
LEAPFROG ENTERPRISES INC      CL A          52186N106   110   19710   SH        DEFINED    1     19710   0     0
LEGG MASON INC                CALL          524901905   746   31000   SH   CALL DEFINED    1     31000   0     0
LEGG MASON INC                PUT           524901955  1320   54900   SH   PUT  DEFINED    1     54900   0     0
LEGGETT & PLATT INC           COM           524660107   237   10297   SH        DEFINED    1     10297   0     0
LEGGETT & PLATT INC           CALL          524660907   378   16400   SH   CALL DEFINED    1     16400   0     0
LEGGETT & PLATT INC           PUT           524660957   336   14600   SH   PUT  DEFINED    1     14600   0     0
LENNAR CORP                   CALL          526057904  1159   59000   SH   CALL DEFINED    1     59000   0     0
LENNAR CORP                   PUT           526057954  1222   62200   SH   PUT  DEFINED    1     62200   0     0
LEUCADIA NATL CORP            PUT           527288954   603   26500   SH   PUT  DEFINED    1     26500   0     0
LEVEL 3 COMMUNICATIONS INC    COM NEW       52729N308   566   33291   SH        DEFINED    1     33291   0     0
LEVEL 3 COMMUNICATIONS INC    CALL          52729N908   579   34100   SH   CALL DEFINED    1     34100   0     0
LEVEL 3 COMMUNICATIONS INC    PUT           52729N958   500   29400   SH   PUT  DEFINED    1     29400   0     0
LEXICON PHARMACEUTICALS INC   COM           528872104    37   28582   SH        DEFINED    1     28582   0     0
LEXMARK INTL NEW              CALL          529771907  1267   38300   SH   CALL DEFINED    1     38300   0     0
LEXMARK INTL NEW              PUT           529771957  1399   42300   SH   PUT  DEFINED    1     42300   0     0
LIBERTY ALL STAR EQUITY FD    SH BEN INT    530158104   179   42442   SH        DEFINED    1     42442   0     0
LIBERTY GLOBAL INC            COM SER A     530555101   365    8907   SH        DEFINED    1      8907   0     0
LIBERTY GLOBAL INC            COM SER C     530555309   625   15808   SH        DEFINED    1     15808   0     0
LIBERTY GLOBAL INC            CALL          530555901   792   19300   SH   CALL DEFINED    1     19300   0     0
LIBERTY GLOBAL INC            PUT           530555951  1900   46300   SH   PUT  DEFINED    1     46300   0     0
LIBERTY MEDIA CORP NEW        INT COM SER A 53071M104   280   17293   SH        DEFINED    1     17293   0     0
LIBERTY MEDIA CORP NEW        CALL          53071M904   582   35900   SH   CALL DEFINED    1     35900   0     0
LIBERTY MEDIA CORP NEW        PUT           53071M954   318   19600   SH   PUT  DEFINED    1     19600   0     0
LIFE TECHNOLOGIES CORP        COM           53217V109  1904   48940   SH        DEFINED    1     48940   0     0
LIFE TECHNOLOGIES CORP        CALL          53217V909  1654   42500   SH   CALL DEFINED    1     42500   0     0
LIFE TECHNOLOGIES CORP        PUT           53217V959  1124   28900   SH   PUT  DEFINED    1     28900   0     0
LIFE TIME FITNESS INC         COM           53217R207   855   18293   SH        DEFINED    1     18293   0     0
LIFEPOINT HOSPITALS INC       COM           53219L109   880   23679   SH        DEFINED    1     23679   0     0
LILLY ELI & CO                COM           532457108  2012   48400   SH        DEFINED    1     48400   0     0
LILLY ELI & CO                CALL          532457908  5270  126800   SH   CALL DEFINED    1    126800   0     0
LILLY ELI & CO                PUT           532457958  7161  172300   SH   PUT  DEFINED    1    172300   0     0
LIMITED BRANDS INC            CALL          532716907  2740   67900   SH   CALL DEFINED    1     67900   0     0
LIMITED BRANDS INC            PUT           532716957  5282  130900   SH   PUT  DEFINED    1    130900   0     0
LINCARE HLDGS INC             PUT           532791950   514   20000   SH   PUT  DEFINED    1     20000   0     0
LINCOLN NATL CORP IND         CALL          534187909  2459  126600   SH   CALL DEFINED    1    126600   0     0
LINCOLN NATL CORP IND         PUT           534187959   853   43900   SH   PUT  DEFINED    1     43900   0     0
LINEAR TECHNOLOGY CORP        COM           535678106   895   29820   SH        DEFINED    1     29820   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
LINEAR TECHNOLOGY CORP        CALL           535678906 1177    39200   SH   CALL DEFINED    1     39200   0     0
LINEAR TECHNOLOGY CORP        PUT            535678956  895    29800   SH   PUT  DEFINED    1     29800   0     0
LINN ENERGY LLC               UNIT LTD LIAB  536020100 3232    85347   SH        DEFINED    1     85347   0     0
LINN ENERGY LLC               CALL           536020900 2392    63100   SH   CALL DEFINED    1     63100   0     0
LINN ENERGY LLC               PUT            536020950 3143    82900   SH   PUT  DEFINED    1     82900   0     0
LIZ CLAIBORNE INC             CALL           539320901  871   100900   SH   CALL DEFINED    1    100900   0     0
LIZ CLAIBORNE INC             PUT            539320951  360    41700   SH   PUT  DEFINED    1     41700   0     0
LLOYDS BANKING GROUP PLC      SPONSORED ADR  539439109   43    27485   SH        DEFINED    1     27485   0     0
LOCAL COM CORP                COM            53954R105   39    18284   SH        DEFINED    1     18284   0     0
LOCKHEED MARTIN CORP          CALL           539830909 6909    85400   SH   CALL DEFINED    1     85400   0     0
LOCKHEED MARTIN CORP          PUT            539830959 8705   107600   SH   PUT  DEFINED    1    107600   0     0
LOGITECH INTL S A             SHS            H50430232  314    40365   SH        DEFINED    1     40365   0     0
LORILLARD INC                 CALL           544147901 4822    42300   SH   CALL DEFINED    1     42300   0     0
LORILLARD INC                 PUT            544147951 4366    38300   SH   PUT  DEFINED    1     38300   0     0
LOUISIANA PAC CORP            CALL           546347905  116    14400   SH   CALL DEFINED    1     14400   0     0
LOUISIANA PAC CORP            PUT            546347955  383    47400   SH   PUT  DEFINED    1     47400   0     0
LOWES COS INC                 CALL           548661907 9419   371100   SH   CALL DEFINED    1    371100   0     0
LOWES COS INC                 PUT            548661957 2924   115200   SH   PUT  DEFINED    1    115200   0     0
LRAD CORP                     COM            50213V109   19    12724   SH        DEFINED    1     12724   0     0
LSI CORPORATION               CALL           502161902  161    27000   SH   CALL DEFINED    1     27000   0     0
LUFKIN INDS INC               COM            549764108  347     5148   SH        DEFINED    1      5148   0     0
LULULEMON ATHLETICA INC       CALL           550021909 1670    35800   SH   CALL DEFINED    1     35800   0     0
LULULEMON ATHLETICA INC       PUT            550021959 2361    50600   SH   PUT  DEFINED    1     50600   0     0
LYONDELLBASELL INDUSTRIES N   CALL           N53745900  604    18600   SH   CALL DEFINED    1     18600   0     0
LYONDELLBASELL INDUSTRIES N   PUT            N53745950  364    11200   SH   PUT  DEFINED    1     11200   0     0
M & T BK CORP                 CALL           55261F904 1153    15100   SH   CALL DEFINED    1     15100   0     0
M & T BK CORP                 PUT            55261F954 2099    27500   SH   PUT  DEFINED    1     27500   0     0
M D C HLDGS INC               PUT            552676958  310    17600   SH   PUT  DEFINED    1     17600   0     0
MACYS INC                     CALL           55616P904 2848    88500   SH   CALL DEFINED    1     88500   0     0
MACYS INC                     PUT            55616P954 3411   106000   SH   PUT  DEFINED    1    106000   0     0
MAD CATZ INTERACTIVE INC      COM            556162105   70   136360   SH        DEFINED    1    136360   0     0
MADISON SQUARE GARDEN INC     CL A           55826P100  232     8094   SH        DEFINED    1      8094   0     0
MAGELLAN PETE CORP            COM            559091301   26    27283   SH        DEFINED    1     27283   0     0
MAGIC SOFTWARE ENTERPRISES L  ORD            559166103  114    22240   SH        DEFINED    1     22240   0     0
MAGMA DESIGN AUTOMATION       COM            559181102   97    13520   SH        DEFINED    1     13520   0     0
MAJESCO ENTERTAINMENT CO      COM NEW        560690208   30    12445   SH        DEFINED    1     12445   0     0
MANITOWOC INC                 CALL           563571908  550    59800   SH   CALL DEFINED    1     59800   0     0
MANITOWOC INC                 PUT            563571958  373    40600   SH   PUT  DEFINED    1     40600   0     0
MANNATECH INC                 COM            563771104    7    18086   SH        DEFINED    1     18086   0     0
MANNKIND CORP                 COM            56400P201   94    37789   SH        DEFINED    1     37789   0     0
MANTECH INTL CORP             CL A           564563104  571    18286   SH        DEFINED    1     18286   0     0
MARATHON OIL CORP             COM            565849106 1120    38259   SH        DEFINED    1     38259   0     0
MARATHON OIL CORP             CALL           565849906 1885    64400   SH   CALL DEFINED    1     64400   0     0
MARATHON OIL CORP             PUT            565849956 3351   114500   SH   PUT  DEFINED    1    114500   0     0
MARATHON PETE CORP            CALL           56585A902 2127    63900   SH   CALL DEFINED    1     63900   0     0
MARATHON PETE CORP            PUT            56585A952 1092    32800   SH   PUT  DEFINED    1     32800   0     0
MARKET VECTORS ETF TR         GOLD MINER ETF 57060U100  680    13219   SH        DEFINED    1     13219   0     0
MARKET VECTORS ETF TR         BRAZL SMCP ETF 57060U613 1073    29456   SH        DEFINED    1     29456   0     0
MARKET VECTORS ETF TR         VIETNAM ETF    57060U761  165    11371   SH        DEFINED    1     11371   0     0
MARKET VECTORS ETF TR         COAL ETF       57060U837  533    16528   SH        DEFINED    1     16528   0     0
MARKET VECTORS ETF TR         CALL           57060U900 1594    31000   SH   CALL DEFINED    1     31000   0     0
MARKET VECTORS ETF TR         CALL           57060U909 1368    55400   SH   CALL DEFINED    1     55400   0     0
MARKET VECTORS ETF TR         PUT            57060U950  874    17000   SH   PUT  DEFINED    1     17000   0     0
MARKET VECTORS ETF TR         PUT            57060U959  492    19900   SH   PUT  DEFINED    1     19900   0     0
MARKWEST ENERGY PARTNERS L P  CALL           570759900 1327    24100   SH   CALL DEFINED    1     24100   0     0
MARKWEST ENERGY PARTNERS L P  PUT            570759950 1437    26100   SH   PUT  DEFINED    1     26100   0     0
MARRIOTT INTL INC NEW         CALL           571903902  688    23600   SH   CALL DEFINED    1     23600   0     0
MARRIOTT INTL INC NEW         PUT            571903952 1243    42600   SH   PUT  DEFINED    1     42600   0     0
MARSH & MCLENNAN COS INC      CALL           571748902  813    25700   SH   CALL DEFINED    1     25700   0     0
MARSH & MCLENNAN COS INC      PUT            571748952 1483    46900   SH   PUT  DEFINED    1     46900   0     0
MARSHALL EDWARDS INC          COM NEW        572322402   36    34616   SH        DEFINED    1     34616   0     0






                                 ISSUER               VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION    CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                             
MARTHA STEWART LIVING OMNIME  CL A          573083102   100   22720   SH        DEFINED    1     22720   0     0
MARTIN MARIETTA MATLS INC     CALL          573284906   656    8700   SH   CALL DEFINED    1      8700   0     0
MARTIN MARIETTA MATLS INC     PUT           573284956  2466   32700   SH   PUT  DEFINED    1     32700   0     0
MARVELL TECHNOLOGY GROUP LTD  CALL          G5876H905  2543  183600   SH   CALL DEFINED    1    183600   0     0
MARVELL TECHNOLOGY GROUP LTD  PUT           G5876H955  1332   96200   SH   PUT  DEFINED    1     96200   0     0
MASCO CORP                    CALL          574599906   373   35600   SH   CALL DEFINED    1     35600   0     0
MASCO CORP                    PUT           574599956   113   10800   SH   PUT  DEFINED    1     10800   0     0
MASIMO CORP                   COM           574795100   313   16748   SH        DEFINED    1     16748   0     0
MASTERCARD INC                CALL          57636Q904 10141   27200   SH   CALL DEFINED    1     27200   0     0
MASTERCARD INC                PUT           57636Q954 10253   27500   SH   PUT  DEFINED    1     27500   0     0
MATTEL INC                    COM           577081102  1124   40507   SH        DEFINED    1     40507   0     0
MATTEL INC                    CALL          577081902  1552   55900   SH   CALL DEFINED    1     55900   0     0
MATTEL INC                    PUT           577081952   719   25900   SH   PUT  DEFINED    1     25900   0     0
MAXIM INTEGRATED PRODS INC    COM           57772K101   339   13011   SH        DEFINED    1     13011   0     0
MAXIM INTEGRATED PRODS INC    CALL          57772K901  1042   40000   SH   CALL DEFINED    1     40000   0     0
MAXIM INTEGRATED PRODS INC    PUT           57772K951  1367   52500   SH   PUT  DEFINED    1     52500   0     0
MBIA INC                      COM           55262C100   259   22336   SH        DEFINED    1     22336   0     0
MBIA INC                      CALL          55262C900   118   10200   SH   CALL DEFINED    1     10200   0     0
MBIA INC                      PUT           55262C950   445   38400   SH   PUT  DEFINED    1     38400   0     0
MCDERMOTT INTL INC            CALL          580037909   784   68100   SH   CALL DEFINED    1     68100   0     0
MCDERMOTT INTL INC            PUT           580037959   813   70600   SH   PUT  DEFINED    1     70600   0     0
MCDONALDS CORP                CALL          580135901 12622  125800   SH   CALL DEFINED    1    125800   0     0
MCDONALDS CORP                PUT           580135951 24099  240200   SH   PUT  DEFINED    1    240200   0     0
MCGRAW HILL COS INC           COM           580645109   329    7320   SH        DEFINED    1      7320   0     0
MCGRAW HILL COS INC           CALL          580645909  1574   35000   SH   CALL DEFINED    1     35000   0     0
MCGRAW HILL COS INC           PUT           580645959  3629   80700   SH   PUT  DEFINED    1     80700   0     0
MCKESSON CORP                 COM           58155Q103   415    5333   SH        DEFINED    1      5333   0     0
MCKESSON CORP                 CALL          58155Q903  4207   54000   SH   CALL DEFINED    1     54000   0     0
MCKESSON CORP                 PUT           58155Q953  3070   39400   SH   PUT  DEFINED    1     39400   0     0
MCMORAN EXPLORATION CO        CALL          582411904  5317  365400   SH   CALL DEFINED    1    365400   0     0
MCMORAN EXPLORATION CO        PUT           582411954  3489  239800   SH   PUT  DEFINED    1    239800   0     0
MEAD JOHNSON NUTRITION CO     CALL          582839906  3065   44600   SH   CALL DEFINED    1     44600   0     0
MEAD JOHNSON NUTRITION CO     PUT           582839956  2949   42900   SH   PUT  DEFINED    1     42900   0     0
MECHEL OAO                    CALL          583840903   109   12800   SH   CALL DEFINED    1     12800   0     0
MECHEL OAO                    PUT           583840953   184   21700   SH   PUT  DEFINED    1     21700   0     0
MECOX LANE LIMITED            SPONSORED ADR 58403M102    31   27263   SH        DEFINED    1     27263   0     0
MEDASSETS INC                 COM           584045108   219   23640   SH        DEFINED    1     23640   0     0
MEDCO HEALTH SOLUTIONS INC    COM           58405U102   676   12089   SH        DEFINED    1     12089   0     0
MEDCO HEALTH SOLUTIONS INC    CALL          58405U902  2079   37200   SH   CALL DEFINED    1     37200   0     0
MEDCO HEALTH SOLUTIONS INC    PUT           58405U952  2085   37300   SH   PUT  DEFINED    1     37300   0     0
MEDICINES CO                  COM           584688105   309   16562   SH        DEFINED    1     16562   0     0
MEDICIS PHARMACEUTICAL CORP   CALL          584690909   213    6400   SH   CALL DEFINED    1      6400   0     0
MEDICIS PHARMACEUTICAL CORP   PUT           584690959   346   10400   SH   PUT  DEFINED    1     10400   0     0
MEDIFAST INC                  COM           58470H101   155   11333   SH        DEFINED    1     11333   0     0
MEDTRONIC INC                 CALL          585055906  7333  191700   SH   CALL DEFINED    1    191700   0     0
MEDTRONIC INC                 PUT           585055956  4605  120400   SH   PUT  DEFINED    1    120400   0     0
MELA SCIENCES INC             COM           55277R100    60   16276   SH        DEFINED    1     16276   0     0
MELCO CROWN ENTMT LTD         ADR           585464100   307   31993   SH        DEFINED    1     31993   0     0
MELCO CROWN ENTMT LTD         CALL          585464900   417   43300   SH   CALL DEFINED    1     43300   0     0
MELCO CROWN ENTMT LTD         PUT           585464950   571   59400   SH   PUT  DEFINED    1     59400   0     0
MEMC ELECTR MATLS INC         COM           552715104   307   77981   SH        DEFINED    1     77981   0     0
MEMC ELECTR MATLS INC         CALL          552715904   275   69800   SH   CALL DEFINED    1     69800   0     0
MEMC ELECTR MATLS INC         PUT           552715954   196   49800   SH   PUT  DEFINED    1     49800   0     0
MERCADOLIBRE INC              COM           58733R102   303    3808   SH        DEFINED    1      3808   0     0
MERCADOLIBRE INC              CALL          58733R902   485    6100   SH   CALL DEFINED    1      6100   0     0
MERCADOLIBRE INC              PUT           58733R952   318    4000   SH   PUT  DEFINED    1      4000   0     0
MERCER INTL INC               COM           588056101    91   14961   SH        DEFINED    1     14961   0     0
MERCK & CO INC NEW            CALL          58933Y905  8950  237400   SH   CALL DEFINED    1    237400   0     0
MERCK & CO INC NEW            PUT           58933Y955 14594  387100   SH   PUT  DEFINED    1    387100   0     0
METLIFE INC                   CALL          59156R908  5011  160700   SH   CALL DEFINED    1    160700   0     0
METLIFE INC                   PUT           59156R958  5232  167800   SH   PUT  DEFINED    1    167800   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
METROPCS COMMUNICATIONS INC   CALL             591708902   168   19300   SH   CALL DEFINED    1     19300   0     0
METROPCS COMMUNICATIONS INC   PUT              591708952   214   24700   SH   PUT  DEFINED    1     24700   0     0
METROPOLITAN HEALTH NETWORKS  COM              592142103   103   13816   SH        DEFINED    1     13816   0     0
MFS CHARTER INCOME TR         SH BEN INT       552727109   133   14511   SH        DEFINED    1     14511   0     0
MFS MULTIMARKET INCOME TR     SH BEN INT       552737108    80   11840   SH        DEFINED    1     11840   0     0
MGIC INVT CORP WIS            COM              552848103    56   14967   SH        DEFINED    1     14967   0     0
MGIC INVT CORP WIS            CALL             552848903   348   93400   SH   CALL DEFINED    1     93400   0     0
MGIC INVT CORP WIS            PUT              552848953   566  151800   SH   PUT  DEFINED    1    151800   0     0
MGM MIRAGE                    CALL             552953901  2778  266300   SH   CALL DEFINED    1    266300   0     0
MGM MIRAGE                    PUT              552953951  2890  277100   SH   PUT  DEFINED    1    277100   0     0
MICROCHIP TECHNOLOGY INC      COM              595017104  1468   40073   SH        DEFINED    1     40073   0     0
MICROCHIP TECHNOLOGY INC      CALL             595017904  2147   58600   SH   CALL DEFINED    1     58600   0     0
MICROCHIP TECHNOLOGY INC      PUT              595017954  1689   46100   SH   PUT  DEFINED    1     46100   0     0
MICRON TECHNOLOGY INC         COM              595112103   243   38637   SH        DEFINED    1     38637   0     0
MICRON TECHNOLOGY INC         CALL             595112903  1486  236300   SH   CALL DEFINED    1    236300   0     0
MICRON TECHNOLOGY INC         PUT              595112953   740  117600   SH   PUT  DEFINED    1    117600   0     0
MICROSEMI CORP                COM              595137100   337   20158   SH        DEFINED    1     20158   0     0
MICROSOFT CORP                COM              594918104  1018   39206   SH        DEFINED    1     39206   0     0
MICROSOFT CORP                CALL             594918904 22048  849300   SH   CALL DEFINED    1    849300   0     0
MICROSOFT CORP                PUT              594918954 24665  950100   SH   PUT  DEFINED    1    950100   0     0
MICROSTRATEGY INC             CL A NEW         594972408   313    2886   SH        DEFINED    1      2886   0     0
MICROVISION INC DEL           COM              594960106    11   31854   SH        DEFINED    1     31854   0     0
MIDWAY GOLD CORP              COM              598153104    41   19495   SH        DEFINED    1     19495   0     0
MINCO GOLD CORPORATION        COM              60254D108    16   24635   SH        DEFINED    1     24635   0     0
MINDRAY MEDICAL INTL LTD      SPON ADR         602675100   412   16078   SH        DEFINED    1     16078   0     0
MINES MGMT INC                COM              603432105    65   32396   SH        DEFINED    1     32396   0     0
MIZUHO FINL GROUP INC         SPONSORED ADR    60687Y109    50   18779   SH        DEFINED    1     18779   0     0
MOHAWK INDS INC               PUT              608190954   634   10600   SH   PUT  DEFINED    1     10600   0     0
MOLEX INC                     COM              608554101   245   10254   SH        DEFINED    1     10254   0     0
MOLSON COORS BREWING CO       CALL             60871R909   205    4700   SH   CALL DEFINED    1      4700   0     0
MOLSON COORS BREWING CO       PUT              60871R959   483   11100   SH   PUT  DEFINED    1     11100   0     0
MOLYCORP INC DEL              COM              608753109   353   14713   SH        DEFINED    1     14713   0     0
MONSANTO CO NEW               COM              61166W101   441    6298   SH        DEFINED    1      6298   0     0
MONSANTO CO NEW               CALL             61166W901  8920  127300   SH   CALL DEFINED    1    127300   0     0
MONSANTO CO NEW               PUT              61166W951  9193  131200   SH   PUT  DEFINED    1    131200   0     0
MONSTER WORLDWIDE INC         CALL             611742907   292   36800   SH   CALL DEFINED    1     36800   0     0
MONSTER WORLDWIDE INC         PUT              611742957   399   50300   SH   PUT  DEFINED    1     50300   0     0
MOODYS CORP                   CALL             615369905  4331  128600   SH   CALL DEFINED    1    128600   0     0
MOODYS CORP                   PUT              615369955  5099  151400   SH   PUT  DEFINED    1    151400   0     0
MORGAN STANLEY                COM NEW          617446448  1049   69306   SH        DEFINED    1     69306   0     0
MORGAN STANLEY                CALL             617446908  6403  423200   SH   CALL DEFINED    1    423200   0     0
MORGAN STANLEY                PUT              617446958 10658  704400   SH   PUT  DEFINED    1    704400   0     0
MORGAN STANLEY EMERG MKT DOM  COM              617477104   366   25854   SH        DEFINED    1     25854   0     0
MOTOROLA SOLUTIONS INC        CALL             620076907  1319   28500   SH   CALL DEFINED    1     28500   0     0
MOTOROLA SOLUTIONS INC        PUT              620076957  1102   23800   SH   PUT  DEFINED    1     23800   0     0
MOTRICITY INC                 COM              620107102    61   67599   SH        DEFINED    1     67599   0     0
MURPHY OIL CORP               CALL             626717902  1544   27700   SH   CALL DEFINED    1     27700   0     0
MURPHY OIL CORP               PUT              626717952  5853  105000   SH   PUT  DEFINED    1    105000   0     0
MYLAN INC                     COM              628530107   248   11583   SH        DEFINED    1     11583   0     0
MYLAN INC                     CALL             628530907  2886  134500   SH   CALL DEFINED    1    134500   0     0
MYLAN INC                     PUT              628530957  2584  120400   SH   PUT  DEFINED    1    120400   0     0
NABORS INDUSTRIES LTD         CALL             G6359F903  4632  267100   SH   CALL DEFINED    1    267100   0     0
NABORS INDUSTRIES LTD         PUT              G6359F953  1833  105700   SH   PUT  DEFINED    1    105700   0     0
NANOPHASE TCHNOLOGIES CORP    COM              630079101     7   18010   SH        DEFINED    1     18010   0     0
NASDAQ OMX GROUP INC          COM              631103108   211    8615   SH        DEFINED    1      8615   0     0
NASDAQ OMX GROUP INC          CALL             631103908  2096   85500   SH   CALL DEFINED    1     85500   0     0
NASDAQ OMX GROUP INC          PUT              631103958   630   25700   SH   PUT  DEFINED    1     25700   0     0
NATIONAL BK GREECE S A        SPN ADR REP 1 SH 633643606    44   22097   SH        DEFINED    1     22097   0     0
NATIONAL OILWELL VARCO INC    COM              637071101   237    3481   SH        DEFINED    1      3481   0     0
NATIONAL OILWELL VARCO INC    CALL             637071901  3719   54700   SH   CALL DEFINED    1     54700   0     0
NATIONAL OILWELL VARCO INC    PUT              637071951 11137  163800   SH   PUT  DEFINED    1    163800   0     0






                                    ISSUER                  VALUE          FLAG  PUT  INVEST
ISSUER NAME                       DESCRIPTION       CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ------------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                   
NATIONAL PRESTO INDS INC      COM                 637215104   258    2757   SH        DEFINED    1      2757   0     0
NATIONAL RETAIL PROPERTIES I  COM                 637417106   261    9879   SH        DEFINED    1      9879   0     0
NATURAL RESOURCE PARTNERS L   COM UNIT L P        63900P103   209    7692   SH        DEFINED    1      7692   0     0
NAVIOS MARITIME HOLDINGS INC  COM                 Y62196103    55   15374   SH        DEFINED    1     15374   0     0
NAVISTAR INTL CORP NEW        CALL                63934E908  1504   39700   SH   CALL DEFINED    1     39700   0     0
NAVISTAR INTL CORP NEW        PUT                 63934E958   932   24600   SH   PUT  DEFINED    1     24600   0     0
NCR CORP NEW                  PUT                 62886E958   262   15900   SH   PUT  DEFINED    1     15900   0     0
NEOSTEM INC                   COM NEW             640650305    37   73418   SH        DEFINED    1     73418   0     0
NEPTUNE TECHNOLOGIES BIORESO  COM                 64077P108    45   16551   SH        DEFINED    1     16551   0     0
NETAPP INC                    COM                 64110D104  1822   50224   SH        DEFINED    1     50224   0     0
NETAPP INC                    CALL                64110D904  7551  208200   SH   CALL DEFINED    1    208200   0     0
NETAPP INC                    PUT                 64110D954  7243  199700   SH   PUT  DEFINED    1    199700   0     0
NETEASE COM INC               CALL                64110W902   202    4500   SH   CALL DEFINED    1      4500   0     0
NETEASE COM INC               PUT                 64110W952   309    6900   SH   PUT  DEFINED    1      6900   0     0
NETFLIX INC                   COM                 64110L106   443    6391   SH        DEFINED    1      6391   0     0
NETFLIX INC                   CALL                64110L906 10227  147600   SH   CALL DEFINED    1    147600   0     0
NETFLIX INC                   PUT                 64110L956  7012  101200   SH   PUT  DEFINED    1    101200   0     0
NETGEAR INC                   COM                 64111Q104   276    8235   SH        DEFINED    1      8235   0     0
NETLOGIC MICROSYSTEMS INC     COM                 64118B100   768   15491   SH        DEFINED    1     15491   0     0
NETLOGIC MICROSYSTEMS INC     CALL                64118B900   610   12300   SH   CALL DEFINED    1     12300   0     0
NETLOGIC MICROSYSTEMS INC     PUT                 64118B950  1963   39600   SH   PUT  DEFINED    1     39600   0     0
NETSOL TECHNOLOGIES INC       COM NEW             64115A204    20   47770   SH        DEFINED    1     47770   0     0
NETWORK ENGINES INC           COM                 64121A107    31   30990   SH        DEFINED    1     30990   0     0
NEUBERGER BERMAN RE ES SEC F  COM                 64190A103    80   21343   SH        DEFINED    1     21343   0     0
NEURALSTEM INC                COM                 64127R302    11   11669   SH        DEFINED    1     11669   0     0
NEUROGESX INC                 COM                 641252101     9   11400   SH        DEFINED    1     11400   0     0
NEW ENERGY SYS GROUP          COM                 643847106    15   24930   SH        DEFINED    1     24930   0     0
NEW GOLD INC CDA              CALL                644535906   218   21600   SH   CALL DEFINED    1     21600   0     0
NEW GOLD INC CDA              PUT                 644535956   170   16900   SH   PUT  DEFINED    1     16900   0     0
NEW YORK CMNTY BANCORP INC    CALL                649445903  1233   99700   SH   CALL DEFINED    1     99700   0     0
NEW YORK CMNTY BANCORP INC    PUT                 649445953   774   62600   SH   PUT  DEFINED    1     62600   0     0
NEW YORK TIMES CO             CALL                650111907   198   25600   SH   CALL DEFINED    1     25600   0     0
NEW YORK TIMES CO             PUT                 650111957   136   17600   SH   PUT  DEFINED    1     17600   0     0
NEWELL RUBBERMAID INC         CALL                651229906   853   52800   SH   CALL DEFINED    1     52800   0     0
NEWFIELD EXPL CO              CALL                651290908  2302   61000   SH   CALL DEFINED    1     61000   0     0
NEWFIELD EXPL CO              PUT                 651290958  4282  113500   SH   PUT  DEFINED    1    113500   0     0
NEWMARKET CORP                COM                 651587107  1057    5334   SH        DEFINED    1      5334   0     0
NEWMONT MINING CORP           COM                 651639106  1044   17403   SH        DEFINED    1     17403   0     0
NEWMONT MINING CORP           CALL                651639906 13358  222600   SH   CALL DEFINED    1    222600   0     0
NEWMONT MINING CORP           PUT                 651639956 17421  290300   SH   PUT  DEFINED    1    290300   0     0
NEWS CORP                     CL A                65248E104   330   18511   SH        DEFINED    1     18511   0     0
NEWS CORP                     CL B                65248E203   596   32743   SH        DEFINED    1     32743   0     0
NEWS CORP                     CALL                65248E904  4201  235500   SH   CALL DEFINED    1    235500   0     0
NEWS CORP                     PUT                 65248E954  1015   56900   SH   PUT  DEFINED    1     56900   0     0
NEWS CORP                     PUT                 65248E953  1431   78700   SH   PUT  DEFINED    1     78700   0     0
NEXTERA ENERGY INC            CALL                65339F901  2800   46000   SH   CALL DEFINED    1     46000   0     0
NEXTERA ENERGY INC            PUT                 65339F951  2015   33100   SH   PUT  DEFINED    1     33100   0     0
NF ENERGY SAVING              CORP COM PAR $0.001 629099300    11   16766   SH        DEFINED    1     16766   0     0
NII HLDGS INC                 CALL                62913F901  1255   58900   SH   CALL DEFINED    1     58900   0     0
NII HLDGS INC                 PUT                 62913F951   869   40800   SH   PUT  DEFINED    1     40800   0     0
NIKE INC                      CL B                654106103   224    2324   SH        DEFINED    1      2324   0     0
NIKE INC                      CALL                654106903  6852   71100   SH   CALL DEFINED    1     71100   0     0
NIKE INC                      PUT                 654106953  6389   66300   SH   PUT  DEFINED    1     66300   0     0
NIPPON TELEG & TEL CORP       SPONSORED
                              ADR                 654624105   902   35612   SH        DEFINED    1     35612   0     0
NISKA GAS STORAGE PARTNERS L  UNIT LTD LIABI      654678101   100   11260   SH        DEFINED    1     11260   0     0
NOBLE CORPORATION BAAR        NAMEN -AKT          H5833N103  1571   51996   SH        DEFINED    1     51996   0     0
NOBLE ENERGY INC              CALL                655044905  4974   52700   SH   CALL DEFINED    1     52700   0     0
NOBLE ENERGY INC              PUT                 655044955  5541   58700   SH   PUT  DEFINED    1     58700   0     0
NOKIA CORP                    SPONSORED
                              ADR                 654902204   471   97624   SH        DEFINED    1     97624   0     0
NOKIA CORP                    CALL                654902904  1407  291900   SH   CALL DEFINED    1    291900   0     0
NOKIA CORP                    PUT                 654902954   830  172200   SH   PUT  DEFINED    1    172200   0     0






                                 ISSUER               VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION    CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                             
NOMURA HLDGS INC              SPONSORED ADR 65535H208    55   18377   SH        DEFINED    1     18377   0     0
NORDION INC                   COM           65563C105    90   10729   SH        DEFINED    1     10729   0     0
NORDSTROM INC                 CALL          655664900  2118   42600   SH   CALL DEFINED    1     42600   0     0
NORDSTROM INC                 PUT           655664950  3495   70300   SH   PUT  DEFINED    1     70300   0     0
NORFOLK SOUTHERN CORP         COM           655844108   294    4041   SH        DEFINED    1      4041   0     0
NORFOLK SOUTHERN CORP         CALL          655844908  3191   43800   SH   CALL DEFINED    1     43800   0     0
NORFOLK SOUTHERN CORP         PUT           655844958  6040   82900   SH   PUT  DEFINED    1     82900   0     0
NORTHERN OIL & GAS INC NEV    CALL          665531909   403   16800   SH   CALL DEFINED    1     16800   0     0
NORTHERN OIL & GAS INC NEV    PUT           665531959   511   21300   SH   PUT  DEFINED    1     21300   0     0
NORTHERN TR CORP              COM           665859104   604   15219   SH        DEFINED    1     15219   0     0
NORTHERN TR CORP              CALL          665859904  1051   26500   SH   CALL DEFINED    1     26500   0     0
NORTHERN TR CORP              PUT           665859954  1448   36500   SH   PUT  DEFINED    1     36500   0     0
NORTHROP GRUMMAN CORP         COM           666807102   299    5109   SH        DEFINED    1      5109   0     0
NORTHROP GRUMMAN CORP         CALL          666807902  1813   31000   SH   CALL DEFINED    1     31000   0     0
NORTHROP GRUMMAN CORP         PUT           666807952  1836   31400   SH   PUT  DEFINED    1     31400   0     0
NORTHWESTERN CORP             COM NEW       668074305   294    8207   SH        DEFINED    1      8207   0     0
NOVABAY PHARMACEUTICALS INC   COM           66987P102    14   10898   SH        DEFINED    1     10898   0     0
NOVAGOLD RES INC              CALL          66987E906  1397  164700   SH   CALL DEFINED    1    164700   0     0
NOVAGOLD RES INC              PUT           66987E956   745   87900   SH   PUT  DEFINED    1     87900   0     0
NOVARTIS A G                  SPONSORED ADR 66987V109   226    3959   SH        DEFINED    1      3959   0     0
NOVARTIS A G                  CALL          66987V909  7221  126300   SH   CALL DEFINED    1    126300   0     0
NOVARTIS A G                  PUT           66987V959  3487   61000   SH   PUT  DEFINED    1     61000   0     0
NOVAVAX INC                   COM           670002104    53   42218   SH        DEFINED    1     42218   0     0
NOVELLUS SYS INC              COM           670008101  1642   39776   SH        DEFINED    1     39776   0     0
NOVELLUS SYS INC              CALL          670008901  2837   68700   SH   CALL DEFINED    1     68700   0     0
NOVELLUS SYS INC              PUT           670008951  1474   35700   SH   PUT  DEFINED    1     35700   0     0
NRG ENERGY INC                CALL          629377908   625   34500   SH   CALL DEFINED    1     34500   0     0
NRG ENERGY INC                PUT           629377958   652   36000   SH   PUT  DEFINED    1     36000   0     0
NUANCE COMMUNICATIONS INC     COM           67020Y100   254   10108   SH        DEFINED    1     10108   0     0
NUANCE COMMUNICATIONS INC     CALL          67020Y900  2871  114100   SH   CALL DEFINED    1    114100   0     0
NUANCE COMMUNICATIONS INC     PUT           67020Y950  1635   65000   SH   PUT  DEFINED    1     65000   0     0
NUCOR CORP                    CALL          670346905  2121   53600   SH   CALL DEFINED    1     53600   0     0
NUCOR CORP                    PUT           670346955  3526   89100   SH   PUT  DEFINED    1     89100   0     0
NUSTAR ENERGY LP              UNIT COM      67058H102   339    5983   SH        DEFINED    1      5983   0     0
NUTRI SYS INC NEW             COM           67069D108   245   18942   SH        DEFINED    1     18942   0     0
NUTRI SYS INC NEW             CALL          67069D908   419   32400   SH   CALL DEFINED    1     32400   0     0
NUTRI SYS INC NEW             PUT           67069D958   246   19000   SH   PUT  DEFINED    1     19000   0     0
NUVASIVE INC                  COM           670704105   210   16730   SH        DEFINED    1     16730   0     0
NUVEEN BUILD AMER BD FD       COM           67074C103   260   12654   SH        DEFINED    1     12654   0     0
NUVEEN ENERGY MLP TOTL RTRNF  COM           67074U103   295   17017   SH        DEFINED    1     17017   0     0
NUVEEN EQTY PRM OPPORTUNITYF  COM           6706EM102   167   14605   SH        DEFINED    1     14605   0     0
NUVEEN EQUITY PREM ADV FD     COM           6706ET107   195   17055   SH        DEFINED    1     17055   0     0
NUVEEN MTG OPPORTUNITY TERM   COM           670735109   229   11269   SH        DEFINED    1     11269   0     0
NUVEEN QUALITY INCOME MUN FD  COM           670977107   178   12174   SH        DEFINED    1     12174   0     0
NUVEEN QUALITY PFD INCOME FD  COM           67071S101   154   20344   SH        DEFINED    1     20344   0     0
NVIDIA CORP                   COM           67066G104   534   38566   SH        DEFINED    1     38566   0     0
NVIDIA CORP                   CALL          67066G904  2072  149500   SH   CALL DEFINED    1    149500   0     0
NVIDIA CORP                   PUT           67066G954  2656  191600   SH   PUT  DEFINED    1    191600   0     0
NXP SEMICONDUCTORS N V        COM           N6596X109   351   22896   SH        DEFINED    1     22896   0     0
NYSE EURONEXT                 COM           629491101   214    8207   SH        DEFINED    1      8207   0     0
O REILLY AUTOMOTIVE INC NEW   COM           67103H107  1109   13874   SH        DEFINED    1     13874   0     0
OCCIDENTAL PETE CORP DEL      CALL          674599905  4722   50400   SH   CALL DEFINED    1     50400   0     0
OCCIDENTAL PETE CORP DEL      PUT           674599955 12172  129900   SH   PUT  DEFINED    1    129900   0     0
OCEAN PWR TECHNOLOGIES INC    COM NEW       674870308    53   20136   SH        DEFINED    1     20136   0     0
OCEANEERING INTL INC          CALL          675232902   429    9300   SH   CALL DEFINED    1      9300   0     0
OCEANEERING INTL INC          PUT           675232952   595   12900   SH   PUT  DEFINED    1     12900   0     0
OCLARO INC                    COM NEW       67555N206    90   31857   SH        DEFINED    1     31857   0     0
OCZ TECHNOLOGY GROUP INC      COM           67086E303   157   23799   SH        DEFINED    1     23799   0     0
OFFICE DEPOT INC              CALL          676220906   118   54800   SH   CALL DEFINED    1     54800   0     0
OFFICE DEPOT INC              PUT           676220956    47   21900   SH   PUT  DEFINED    1     21900   0     0
OFFICEMAX INC DEL             CALL          67622P901   162   35600   SH   CALL DEFINED    1     35600   0     0






                                 ISSUER               VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION    CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                             
OFFICEMAX INC DEL             PUT           67622P951   225   49600   SH   PUT  DEFINED    1     49600   0     0
OLIN CORP                     CALL          680665905   401   20400   SH   CALL DEFINED    1     20400   0     0
OLIN CORP                     PUT           680665955   261   13300   SH   PUT  DEFINED    1     13300   0     0
OMEGA HEALTHCARE INVS INC     COM           681936100   211   10882   SH        DEFINED    1     10882   0     0
OMEGA PROTEIN CORP            COM           68210P107    84   11761   SH        DEFINED    1     11761   0     0
OMNICARE INC                  COM           681904108   334    9691   SH        DEFINED    1      9691   0     0
OMNICARE INC                  CALL          681904908   506   14700   SH   CALL DEFINED    1     14700   0     0
OMNICOM GROUP INC             CALL          681919906   325    7300   SH   CALL DEFINED    1      7300   0     0
OMNICOM GROUP INC             PUT           681919956   205    4600   SH   PUT  DEFINED    1      4600   0     0
OMNIVISION TECHNOLOGIES INC   COM           682128103   501   40960   SH        DEFINED    1     40960   0     0
OMNIVISION TECHNOLOGIES INC   CALL          682128903  1283  104900   SH   CALL DEFINED    1    104900   0     0
OMNIVISION TECHNOLOGIES INC   PUT           682128953  1753  143300   SH   PUT  DEFINED    1    143300   0     0
ON SEMICONDUCTOR CORP         COM           682189105   140   18132   SH        DEFINED    1     18132   0     0
ON SEMICONDUCTOR CORP         CALL          682189905   665   86100   SH   CALL DEFINED    1     86100   0     0
ON SEMICONDUCTOR CORP         PUT           682189955   125   16200   SH   PUT  DEFINED    1     16200   0     0
ONCOTHYREON INC               COM           682324108   195   25850   SH        DEFINED    1     25850   0     0
ONEOK INC NEW                 COM           682680103   228    2633   SH        DEFINED    1      2633   0     0
ONSTREAM MEDIA CORP           COM NEW       682875208     7   10292   SH        DEFINED    1     10292   0     0
ONYX PHARMACEUTICALS INC      COM           683399109   398    9050   SH        DEFINED    1      9050   0     0
OPENTABLE INC                 COM           68372A104   300    7682   SH        DEFINED    1      7682   0     0
OPEXA THERAPEUTICS INC        COM           68372T103    25   26863   SH        DEFINED    1     26863   0     0
OPNEXT INC                    COM           68375V105    54   66751   SH        DEFINED    1     66751   0     0
OPTIMER PHARMACEUTICALS INC   COM           68401H104   132   10788   SH        DEFINED    1     10788   0     0
OPTIMUMBANK HOLDINGS INC      COM NEW       68401P205     7   14542   SH        DEFINED    1     14542   0     0
ORACLE CORP                   COM           68389X105   344   13424   SH        DEFINED    1     13424   0     0
ORACLE CORP                   CALL          68389X905  6230  242900   SH   CALL DEFINED    1    242900   0     0
ORACLE CORP                   PUT           68389X955 10257  399900   SH   PUT  DEFINED    1    399900   0     0
ORBCOMM INC                   COM           68555P100    32   10720   SH        DEFINED    1     10720   0     0
OREILLY AUTOMOTIVE INC NEW    CALL          67103H907  2039   25500   SH   CALL DEFINED    1     25500   0     0
OREILLY AUTOMOTIVE INC NEW    PUT           67103H957  1103   13800   SH   PUT  DEFINED    1     13800   0     0
OREXIGEN THERAPEUTICS INC     COM           686164104    34   21357   SH        DEFINED    1     21357   0     0
OSHKOSH CORP                  CALL          688239901  1001   46800   SH   CALL DEFINED    1     46800   0     0
OSHKOSH CORP                  PUT           688239951   904   42300   SH   PUT  DEFINED    1     42300   0     0
OSSEN INNOVATION CO LTD       SPONSORED ADR 688410109    27   33226   SH        DEFINED    1     33226   0     0
OWENS CORNING NEW             CALL          690742901  1603   55800   SH   CALL DEFINED    1     55800   0     0
OWENS CORNING NEW             PUT           690742951   928   32300   SH   PUT  DEFINED    1     32300   0     0
OWENS ILL INC                 CALL          690768903  1547   79800   SH   CALL DEFINED    1     79800   0     0
OWENS ILL INC                 PUT           690768953  1070   55200   SH   PUT  DEFINED    1     55200   0     0
OXIGENE INC                   COM NEW       691828305    29   30101   SH        DEFINED    1     30101   0     0
PACCAR INC                    COM           693718108   360    9597   SH        DEFINED    1      9597   0     0
PACCAR INC                    CALL          693718908  1832   48900   SH   CALL DEFINED    1     48900   0     0
PACCAR INC                    PUT           693718958  2417   64500   SH   PUT  DEFINED    1     64500   0     0
PAN AMERICAN SILVER CORP      COM           697900108  1255   57600   SH        DEFINED    1     57600   0     0
PAN AMERICAN SILVER CORP      CALL          697900908  1612   73900   SH   CALL DEFINED    1     73900   0     0
PAN AMERICAN SILVER CORP      PUT           697900958  1668   76500   SH   PUT  DEFINED    1     76500   0     0
PANERA BREAD CO               CL A          69840W108   929    6574   SH        DEFINED    1      6574   0     0
PANERA BREAD CO               CALL          69840W908  2688   19000   SH   CALL DEFINED    1     19000   0     0
PANERA BREAD CO               PUT           69840W958  5785   40900   SH   PUT  DEFINED    1     40900   0     0
PARAGON SHIPPING INC          CL A          69913R309    38   59814   SH        DEFINED    1     59814   0     0
PARAMETRIC TECHNOLOGY CORP    COM NEW       699173209   462   25335   SH        DEFINED    1     25335   0     0
PARKER HANNIFIN CORP          COM           701094104   501    6565   SH        DEFINED    1      6565   0     0
PARKER HANNIFIN CORP          CALL          701094904  2539   33300   SH   CALL DEFINED    1     33300   0     0
PARKER HANNIFIN CORP          PUT           701094954  3736   49000   SH   PUT  DEFINED    1     49000   0     0
PARTNER COMMUNICATIONS CO LT  ADR           70211M109   103   11686   SH        DEFINED    1     11686   0     0
PATRIOT COAL CORP             CALL          70336T904   473   55800   SH   CALL DEFINED    1     55800   0     0
PATRIOT COAL CORP             PUT           70336T954   642   75800   SH   PUT  DEFINED    1     75800   0     0
PATTERSON COMPANIES INC       COM           703395103   797   26999   SH        DEFINED    1     26999   0     0
PATTERSON UTI ENERGY INC      COM           703481101   701   35111   SH        DEFINED    1     35111   0     0
PATTERSON UTI ENERGY INC      CALL          703481901   697   34900   SH   CALL DEFINED    1     34900   0     0
PATTERSON UTI ENERGY INC      PUT           703481951   819   41000   SH   PUT  DEFINED    1     41000   0     0
PAYCHEX INC                   COM           704326107   235    7816   SH        DEFINED    1      7816   0     0






                                ISSUER              VALUE          FLAG  PUT  INVEST
ISSUER NAME                   DESCRIPTION   CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ----------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                           
PAYCHEX INC                   CALL        704326907  3035  100800   SH   CALL DEFINED    1    100800   0     0
PAYCHEX INC                   PUT         704326957  1490   49500   SH   PUT  DEFINED    1     49500   0     0
PDL BIOPHARMA INC             COM         69329Y104   107   17361   SH        DEFINED    1     17361   0     0
PEABODY ENERGY CORP           CALL        704549904  2993   90400   SH   CALL DEFINED    1     90400   0     0
PEABODY ENERGY CORP           PUT         704549954  2871   86700   SH   PUT  DEFINED    1     86700   0     0
PENDRELL CORP                 COM         70686R104    48   18635   SH        DEFINED    1     18635   0     0
PENN NATL GAMING INC          COM         707569109   785   20610   SH        DEFINED    1     20610   0     0
PENN NATL GAMING INC          CALL        707569909   453   11900   SH   CALL DEFINED    1     11900   0     0
PENN NATL GAMING INC          PUT         707569959   902   23700   SH   PUT  DEFINED    1     23700   0     0
PENNANTPARK INVT CORP         COM         708062104   180   17844   SH        DEFINED    1     17844   0     0
PENNEY J C INC                CALL        708160906  2453   69800   SH   CALL DEFINED    1     69800   0     0
PENNEY J C INC                PUT         708160956  3237   92100   SH   PUT  DEFINED    1     92100   0     0
PENSON WORLDWIDE INC          COM         709600100    35   29936   SH        DEFINED    1     29936   0     0
PEPSICO INC                   CALL        713448908 15055  226900   SH   CALL DEFINED    1    226900   0     0
PEPSICO INC                   PUT         713448958 11014  166000   SH   PUT  DEFINED    1    166000   0     0
PEREGRINE PHARMACEUTICALS IN  COM NEW     713661304    76   75398   SH        DEFINED    1     75398   0     0
PERRIGO CO                    COM         714290103  1472   15133   SH        DEFINED    1     15133   0     0
PETROCHINA CO LTD             CALL        71646E900  1094    8800   SH   CALL DEFINED    1      8800   0     0
PETROCHINA CO LTD             PUT         71646E950   485    3900   SH   PUT  DEFINED    1      3900   0     0
PETROLEO BRASILEIRO SA PETRO  CALL        71654V908  2545  102400   SH   CALL DEFINED    1    102400   0     0
PETROLEO BRASILEIRO SA PETRO  PUT         71654V958  3074  123700   SH   PUT  DEFINED    1    123700   0     0
PETSMART INC                  CALL        716768906   241    4700   SH   CALL DEFINED    1      4700   0     0
PETSMART INC                  PUT         716768956   667   13000   SH   PUT  DEFINED    1     13000   0     0
PFIZER INC                    COM         717081103  2373  109661   SH        DEFINED    1    109661   0     0
PFIZER INC                    CALL        717081903 11696  540500   SH   CALL DEFINED    1    540500   0     0
PFIZER INC                    PUT         717081953 18792  868400   SH   PUT  DEFINED    1    868400   0     0
PHARMACYCLICS INC             COM         716933106   159   10743   SH        DEFINED    1     10743   0     0
PHARMASSET INC                COM         71715N106   346    2705   SH        DEFINED    1      2705   0     0
PHARMATHENE INC               COM         71714G102    43   34075   SH        DEFINED    1     34075   0     0
PHH CORP                      COM NEW     693320202   169   15831   SH        DEFINED    1     15831   0     0
PHILIP MORRIS INTL INC        COM         718172109   854   10886   SH        DEFINED    1     10886   0     0
PHILIP MORRIS INTL INC        CALL        718172909  6836   87100   SH   CALL DEFINED    1     87100   0     0
PHILIP MORRIS INTL INC        PUT         718172959 16128  205500   SH   PUT  DEFINED    1    205500   0     0
PHOTRONICS INC                COM         719405102   171   28167   SH        DEFINED    1     28167   0     0
PIEDMONT OFFICE REALTY TR     IN COMCL A  720190206   478   28034   SH        DEFINED    1     28034   0     0
PIMCO INCOME OPPORTUNITY FD   COM         72202B100   315   12504   SH        DEFINED    1     12504   0     0
PIMCO MUN INCOME FD II        COM         72200W106   298   26538   SH        DEFINED    1     26538   0     0
PIMCO MUNICIPAL INCOME FD     COM         72200R107   167   11752   SH        DEFINED    1     11752   0     0
PIMCO STRATEGIC GBL GOV FD I  COM         72200X104   127   11413   SH        DEFINED    1     11413   0     0
PINNACLE AIRL CORP            COM         723443107    12   14243   SH        DEFINED    1     14243   0     0
PINNACLE WEST CAP CORP        COM         723484101   855   17754   SH        DEFINED    1     17754   0     0
PIONEER FLOATING RATE TR      COM         72369J102   149   11965   SH        DEFINED    1     11965   0     0
PIONEER NAT RES CO            CALL        723787907  4599   51400   SH   CALL DEFINED    1     51400   0     0
PIONEER NAT RES CO            PUT         723787957  2121   23700   SH   PUT  DEFINED    1     23700   0     0
PITNEY BOWES INC              CALL        724479900   803   43300   SH   CALL DEFINED    1     43300   0     0
PITNEY BOWES INC              PUT         724479950  1112   60000   SH   PUT  DEFINED    1     60000   0     0
PLAINS EXPL& PRODTN CO        COM         726505100   284    7727   SH        DEFINED    1      7727   0     0
PLAINS EXPL& PRODTN CO        CALL        726505900  1370   37300   SH   CALL DEFINED    1     37300   0     0
PLAINS EXPL& PRODTN CO        PUT         726505950  2424   66000   SH   PUT  DEFINED    1     66000   0     0
PLATINUM GROUP METALS LTD     COM NEW     72765Q205    11   12956   SH        DEFINED    1     12956   0     0
PLUM CREEK TIMBER CO INC      CALL        729251908   687   18800   SH   CALL DEFINED    1     18800   0     0
PLUM CREEK TIMBER CO INC      PUT         729251958  1525   41700   SH   PUT  DEFINED    1     41700   0     0
PLURISTEM THERAPEUTICS INC    COM         72940R102    58   23692   SH        DEFINED    1     23692   0     0
PMC-SIERRA INC                COM         69344F106   164   29773   SH        DEFINED    1     29773   0     0
PNC FINL SVCS GROUP INC       COM         693475105  1006   17446   SH        DEFINED    1     17446   0     0
PNC FINL SVCS GROUP INC       CALL        693475905  7935  137600   SH   CALL DEFINED    1    137600   0     0
PNC FINL SVCS GROUP INC       PUT         693475955  8454  146600   SH   PUT  DEFINED    1    146600   0     0
POLARIS INDS INC              CALL        731068902  1288   23000   SH   CALL DEFINED    1     23000   0     0
POLARIS INDS INC              PUT         731068952  1528   27300   SH   PUT  DEFINED    1     27300   0     0
POLYCOM INC                   COM         73172K104   593   36426   SH        DEFINED    1     36426   0     0
POLYCOM INC                   CALL        73172K904   955   58600   SH   CALL DEFINED    1     58600   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
POLYCOM INC                   PUT            73172K954   559   34300   SH   PUT  DEFINED    1     34300   0     0
POLYMET MINING CORP           COM            731916102    37   35504   SH        DEFINED    1     35504   0     0
POLYPORE INTL INC             COM            73179V103   634   14403   SH        DEFINED    1     14403   0     0
POPULAR INC                   COM            733174106    50   36225   SH        DEFINED    1     36225   0     0
POPULAR INC                   CALL           733174906    56   40300   SH   CALL DEFINED    1     40300   0     0
POPULAR INC                   PUT            733174956    68   49000   SH   PUT  DEFINED    1     49000   0     0
POSCO                         SPONSORED ADR  693483109   277    3375   SH        DEFINED    1      3375   0     0
POTASH CORP SASK INC          CALL           73755L907  3558   86200   SH   CALL DEFINED    1     86200   0     0
POTASH CORP SASK INC          PUT            73755L957  3381   81900   SH   PUT  DEFINED    1     81900   0     0
POWER ONE INC NEW             COM            73930R102   113   29032   SH        DEFINED    1     29032   0     0
POWERSHARES DB G10 CURCY HAR  COM UT BEN INT 73935Y102   239   10054   SH        DEFINED    1     10054   0     0
POWERSHARES ETF TR II         EMRG MKTS INFR 73937B209   267    7196   SH        DEFINED    1      7196   0     0
POWERSHARES ETF TR II         S&P SMCP IND P 73937B878   771   28314   SH        DEFINED    1     28314   0     0
POWERSHARES ETF TRUST         DWA TECH LDRS  73935X153   308   12933   SH        DEFINED    1     12933   0     0
POWERSHARES ETF TRUST         FINL PFD PTFL  73935X229  1066   66129   SH        DEFINED    1     66129   0     0
POWERSHARES ETF TRUST         HI YLD EQ DVDN 73935X302   122   13187   SH        DEFINED    1     13187   0     0
POWERSHARES ETF TRUST         WATER RESOURCE 73935X575   293   17399   SH        DEFINED    1     17399   0     0
POWERSHARES ETF TRUST         FTSE RAFI 1000 73935X583   266    4877   SH        DEFINED    1      4877   0     0
POWERSHARES ETF TRUST         DYN RETAIL PTF 73935X617   216    9819   SH        DEFINED    1      9819   0     0
POWERSHARES ETF TRUST         AERSPC DEF PTF 73935X690   225   12358   SH        DEFINED    1     12358   0     0
POWERSHARES ETF TRUST         ZACKS MC PRTFL 73935X740   118   11593   SH        DEFINED    1     11593   0     0
POWERSHARES ETF TRUST         DYNM MC GRWTH  73935X807   209   10288   SH        DEFINED    1     10288   0     0
POWERSHARES ETF TRUST         DYN NETWKG PRT 73935X815   240    9881   SH        DEFINED    1      9881   0     0
POWERSHARES ETF TRUST         DYNM SM CP VAL 73935X864   170   11542   SH        DEFINED    1     11542   0     0
POWERSHARES ETF TRUST II      GLOBL AGRI ETF 73936Q702   513   19100   SH        DEFINED    1     19100   0     0
POWERSHARES GLOBAL ETF TRUST  ASIA PAC EX-JP 73936T854   256    5492   SH        DEFINED    1      5492   0     0
POWERSHARES QQQ TRUST         UNIT SER 1     73935A104  5130   91908   SH        DEFINED    1     91908   0     0
POWERSHARES QQQ TRUST         CALL           73935A904  5873  105200   SH   CALL DEFINED    1    105200   0     0
POWERSHARES QQQ TRUST         PUT            73935A954  9536  170800   SH   PUT  DEFINED    1    170800   0     0
POWERSHS DB MULTI SECT COMM   DB PREC MTLS   73936B200   527    9789   SH        DEFINED    1      9789   0     0
POWERSHS DB MULTI SECT COMM   DB GOLD FUND   73936B606   307    5635   SH        DEFINED    1      5635   0     0
POWERSHS DB US DOLLAR INDEX   DOLL INDX BULL 73936D107   375   16704   SH        DEFINED    1     16704   0     0
PPG INDS INC                  CALL           693506907  1803   21600   SH   CALL DEFINED    1     21600   0     0
PPG INDS INC                  PUT            693506957  3273   39200   SH   PUT  DEFINED    1     39200   0     0
PPL CORP                      COM            69351T106   703   23907   SH        DEFINED    1     23907   0     0
PPL CORP                      CALL           69351T906  1568   53300   SH   CALL DEFINED    1     53300   0     0
PPL CORP                      PUT            69351T956   886   30100   SH   PUT  DEFINED    1     30100   0     0
PRANA BIOTECHNOLOGY LTD       SPONSORED ADR  739727105    55   37482   SH        DEFINED    1     37482   0     0
PRAXAIR INC                   COM            74005P104   395    3698   SH        DEFINED    1      3698   0     0
PRAXAIR INC                   CALL           74005P904  2608   24400   SH   CALL DEFINED    1     24400   0     0
PRAXAIR INC                   PUT            74005P954  2619   24500   SH   PUT  DEFINED    1     24500   0     0
PRECISION CASTPARTS CORP      CALL           740189905  5010   30400   SH   CALL DEFINED    1     30400   0     0
PRECISION CASTPARTS CORP      PUT            740189955  6015   36500   SH   PUT  DEFINED    1     36500   0     0
PRESSTEK INC                  COM            741113104     8   15342   SH        DEFINED    1     15342   0     0
PRICE T ROWE GROUP INC        COM            74144T108   275    4823   SH        DEFINED    1      4823   0     0
PRICE T ROWE GROUP INC        CALL           74144T908  2005   35200   SH   CALL DEFINED    1     35200   0     0
PRICE T ROWE GROUP INC        PUT            74144T958  2221   39000   SH   PUT  DEFINED    1     39000   0     0
PRICELINE COM INC             COM NEW        741503403  2693    5758   SH        DEFINED    1      5758   0     0
PRICELINE COM INC             CALL           741503903  6174   13200   SH   CALL DEFINED    1     13200   0     0
PRICELINE COM INC             PUT            741503953 15388   32900   SH   PUT  DEFINED    1     32900   0     0
PRIMERO MNG CORP              COM            74164W106    57   17713   SH        DEFINED    1     17713   0     0
PRIMO WTR CORP                COM            74165N105    61   20216   SH        DEFINED    1     20216   0     0
PRINCIPAL FINANCIAL GROUP IN  CALL           74251V902   745   30300   SH   CALL DEFINED    1     30300   0     0
PRINCIPAL FINANCIAL GROUP IN  PUT            74251V952  1164   47300   SH   PUT  DEFINED    1     47300   0     0
PROCTER & GAMBLE CO           CALL           742718909 13302  199400   SH   CALL DEFINED    1    199400   0     0
PROCTER & GAMBLE CO           PUT            742718959 17351  260100   SH   PUT  DEFINED    1    260100   0     0
PROGENICS PHARMACEUTICALS IN  COM            743187106   105   12306   SH        DEFINED    1     12306   0     0
PROGRESS SOFTWARE CORP        COM            743312100   318   16436   SH        DEFINED    1     16436   0     0
PROGRESSIVE CORP OHIO         CALL           743315903   581   29800   SH   CALL DEFINED    1     29800   0     0
PROGRESSIVE CORP OHIO         PUT            743315953   304   15600   SH   PUT  DEFINED    1     15600   0     0
PROPHASE LABS INC             COM            74345W108    14   11704   SH        DEFINED    1     11704   0     0






                                    ISSUER                  VALUE          FLAG  PUT  INVEST
ISSUER NAME                       DESCRIPTION       CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ------------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                   
PROSHARES TR                  PSHS ULT S&P 500    74347R107  1232   26557   SH        DEFINED    1     26557   0     0
PROSHARES TR                  PSHS ULTSHT FINL    74347X146   374    6311   SH        DEFINED    1      6311   0     0
PROSHARES TR                  ULTRA 20YR TRE      74347R172   250    1846   SH        DEFINED    1      1846   0     0
PROSHARES TR                  ULTR 7-10 TREA      74347R180   669    6286   SH        DEFINED    1      6286   0     0
PROSHARES TR                  PSHS ULTRA QQQ      74347R206  1670   20501   SH        DEFINED    1     20501   0     0
PROSHARES TR                  PSHS SHTFINL ETF    74347R230   617   16519   SH        DEFINED    1     16519   0     0
PROSHARES TR                  PSHS ULTSHRT QQQ    74347X237  1385   30679   SH        DEFINED    1     30679   0     0
PROSHARES TR                  PSHS CS 130/30      74347R248   293    5159   SH        DEFINED    1      5159   0     0
PROSHARES TR                  PSHS ULTSH 20YRS    74347R297   494   27368   SH        DEFINED    1     27368   0     0
PROSHARES TR                  PSHS ULTRA DOW30    74347R305   385    6434   SH        DEFINED    1      6434   0     0
PROSHARES TR                  PSHS SH MSCI EMR    74347R396   348   10436   SH        DEFINED    1     10436   0     0
PROSHARES TR                  PSHS SHRT S&P500    74347R503   690   17078   SH        DEFINED    1     17078   0     0
PROSHARES TR                  ULTSHT OIL NEW      74347X591   204    7973   SH        DEFINED    1      7973   0     0
PROSHARES TR                  PSHS SHORT QQQ      74347R602   395   12634   SH        DEFINED    1     12634   0     0
PROSHARES TR                  BASIC MAT NEW       74347X617   196   10529   SH        DEFINED    1     10529   0     0
PROSHARES TR                  ULTRA FNCLS NEW     74347X633   325    7323   SH        DEFINED    1      7323   0     0
PROSHARES TR                  II SHRT SILV NEW    74347W643  1252   78886   SH        DEFINED    1     78886   0     0
PROSHARES TR                  SHRT RL EST FD      74347X641   380   11086   SH        DEFINED    1     11086   0     0
PROSHARES TR                  II ULTSH DJ UBS CRU 74347W668   204    5282   SH        DEFINED    1      5282   0     0
PROSHARES TR                  ULTPR SHRT QQQ      74347X666   982   49860   SH        DEFINED    1     49860   0     0
PROSHARES TR                  PSHS SHORT DOW30    74347R701   499   12864   SH        DEFINED    1     12864   0     0
PROSHARES TR                  PSHS ULTRA O&G      74347R719   235    5347   SH        DEFINED    1      5347   0     0
PROSHARES TR                  PSHS ULT BASMATL    74347R776   258    8047   SH        DEFINED    1      8047   0     0
PROSHARES TR                  PSHS SHT SCAP600    74347R784   225    8882   SH        DEFINED    1      8882   0     0
PROSHARES TR                  ULTR RUSSL2000      74347X799   384    7769   SH        DEFINED    1      7769   0     0
PROSHARES TR                  ULTRPRO DOW30       74347X823   387    2970   SH        DEFINED    1      2970   0     0
PROSHARES TR                  ULTRAPRO QQQ        74347X831  1277   18802   SH        DEFINED    1     18802   0     0
PROSHARES TR                  PSHS ULTRUSS2000    74347R842  1374   39407   SH        DEFINED    1     39407   0     0
PROSHARES TR                  SHRT 20+YR TRE      74347X849  1116   35799   SH        DEFINED    1     35799   0     0
PROSHARES TR                  ULT SHR S&P500      74347X856   367   27963   SH        DEFINED    1     27963   0     0
PROSHARES TR                  PSHS ULTASH DW30    74347R867   280   18283   SH        DEFINED    1     18283   0     0
PROSHARES TR                  ULTRPRO S&P500      74347X864  1593   26485   SH        DEFINED    1     26485   0     0
PROSHARES TR                  REAL EST NEW 11     74348A871   323    8798   SH        DEFINED    1      8798   0     0
PROSHARES TR                  PSHS ULSHT SP500    74347R883  1521   78967   SH        DEFINED    1     78967   0     0
PROSHARES TR II               ULTRA GOLD          74347W601   608    7694   SH        DEFINED    1      7694   0     0
PROSHARES TR II               ULTRA SILVER        74347W841   329    7900   SH        DEFINED    1      7900   0     0
PROSHARES TR II               ULTRASHRT EURO      74347W882   261   12832   SH        DEFINED    1     12832   0     0
PROSPECT CAPITAL CORPORATION  COM                 74348T102   270   29023   SH        DEFINED    1     29023   0     0
PRUDENTIAL FINL INC           COM                 744320102   387    7720   SH        DEFINED    1      7720   0     0
PRUDENTIAL FINL INC           CALL                744320902  4521   90200   SH   CALL DEFINED    1     90200   0     0
PRUDENTIAL FINL INC           PUT                 744320952  4776   95300   SH   PUT  DEFINED    1     95300   0     0
PSS WORLD MED INC             COM                 69366A100   205    8463   SH        DEFINED    1      8463   0     0
PUBLIC STORAGE                CALL                74460D909  1829   13600   SH   CALL DEFINED    1     13600   0     0
PUBLIC STORAGE                PUT                 74460D959  1667   12400   SH   PUT  DEFINED    1     12400   0     0
PUBLIC SVC ENTERPRISE GROUP   CALL                744573906   333   10100   SH   CALL DEFINED    1     10100   0     0
PUBLIC SVC ENTERPRISE GROUP   PUT                 744573956   300    9100   SH   PUT  DEFINED    1      9100   0     0
PULTE HOMES INC               COM                 745867101    99   15709   SH        DEFINED    1     15709   0     0
PULTE HOMES INC               CALL                745867901   674  106800   SH   CALL DEFINED    1    106800   0     0
PULTE HOMES INC               PUT                 745867951   144   22800   SH   PUT  DEFINED    1     22800   0     0
PUTNAM MANAGED MUN INCOM
 TR                           COM                 746823103    77   10362   SH        DEFINED    1     10362   0     0
PUTNAM PREMIER INCOME TR      SH BEN INT          746853100   227   43664   SH        DEFINED    1     43664   0     0
PVH CORP                      CALL                693656900  1093   15500   SH   CALL DEFINED    1     15500   0     0
PVH CORP                      PUT                 693656950  1776   25200   SH   PUT  DEFINED    1     25200   0     0
QIAO XING UNIVERSAL TELEPHON  ORD                 G7303A109    14   23592   SH        DEFINED    1     23592   0     0
QLOGIC CORP                   COM                 747277101   343   22906   SH        DEFINED    1     22906   0     0
QLOGIC CORP                   CALL                747277901   411   27400   SH   CALL DEFINED    1     27400   0     0
QUALCOMM INC                  CALL                747525903 17734  324200   SH   CALL DEFINED    1    324200   0     0
QUALCOMM INC                  PUT                 747525953 24063  439900   SH   PUT  DEFINED    1    439900   0     0
QUANTA SVCS INC               CALL                74762E902   739   34300   SH   CALL DEFINED    1     34300   0     0
QUANTA SVCS INC               PUT                 74762E952   638   29600   SH   PUT  DEFINED    1     29600   0     0
QUANTUM CORP                  COM DSSG            747906204    31   12716   SH        DEFINED    1     12716   0     0






                                  ISSUER               VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION    CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                     ------------ --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
QUANTUM FUEL SYS TECH WORLDW    COM NEW      74765E208    35   47635   SH        DEFINED    1     47635   0     0
QUATERRA RES INC                COM          747952109     7   12615   SH        DEFINED    1     12615   0     0
QUEST DIAGNOSTICS INC           CALL         74834L900  1713   29500   SH   CALL DEFINED    1     29500   0     0
QUEST DIAGNOSTICS INC           PUT          74834L950  1115   19200   SH   PUT  DEFINED    1     19200   0     0
QUESTCOR PHARMACEUTICALS INC    COM          74835Y101   865   20806   SH        DEFINED    1     20806   0     0
QUICKSILVER RESOURCES INC       CALL         74837R904   233   34700   SH   CALL DEFINED    1     34700   0     0
QUICKSILVER RESOURCES INC       PUT          74837R954   914  136200   SH   PUT  DEFINED    1    136200   0     0
QUINSTREET INC                  COM          74874Q100    95   10196   SH        DEFINED    1     10196   0     0
RACKSPACE HOSTING INC           CALL         750086900  2998   69700   SH   CALL DEFINED    1     69700   0     0
RACKSPACE HOSTING INC           PUT          750086950  2907   67600   SH   PUT  DEFINED    1     67600   0     0
RADIO ONE INC                   CL D NON VTG 75040P405    10   10533   SH        DEFINED    1     10533   0     0
RADIOSHACK CORP                 COM          750438103   188   19377   SH        DEFINED    1     19377   0     0
RADIOSHACK CORP                 CALL         750438903   270   27800   SH   CALL DEFINED    1     27800   0     0
RADIOSHACK CORP                 PUT          750438953   376   38700   SH   PUT  DEFINED    1     38700   0     0
RALPH LAUREN                    CORP CL A    751212101   448    3245   SH        DEFINED    1      3245   0     0
RALPH LAUREN CORP               CALL         751212901  4087   29600   SH   CALL DEFINED    1     29600   0     0
RALPH LAUREN CORP               PUT          751212951  4156   30100   SH   PUT  DEFINED    1     30100   0     0
RAMBUS INC DEL                  COM          750917106   782  103673   SH        DEFINED    1    103673   0     0
RAMBUS INC DEL                  CALL         750917906   928  122900   SH   CALL DEFINED    1    122900   0     0
RAMBUS INC DEL                  PUT          750917956  1027  136000   SH   PUT  DEFINED    1    136000   0     0
RANDGOLD RES LTD                ADR          752344309   522    5113   SH        DEFINED    1      5113   0     0
RANDGOLD RES LTD                CALL         752344909   817    8000   SH   CALL DEFINED    1      8000   0     0
RANDGOLD RES LTD                PUT          752344959  1021   10000   SH   PUT  DEFINED    1     10000   0     0
RANGE RES CORP                  COM          75281A109   386    6237   SH        DEFINED    1      6237   0     0
RANGE RES CORP                  CALL         75281A909  1047   16900   SH   CALL DEFINED    1     16900   0     0
RANGE RES CORP                  PUT          75281A959  1487   24000   SH   PUT  DEFINED    1     24000   0     0
RAYTHEON CO                     CALL         755111907  1055   21800   SH   CALL DEFINED    1     21800   0     0
RAYTHEON CO                     PUT          755111957  2845   58800   SH   PUT  DEFINED    1     58800   0     0
REALTY INCOME CORP              COM          756109104   569   16287   SH        DEFINED    1     16287   0     0
REALTY INCOME CORP              CALL         756109904   430   12300   SH   CALL DEFINED    1     12300   0     0
REALTY INCOME CORP              PUT          756109954   717   20500   SH   PUT  DEFINED    1     20500   0     0
RECON TECHNOLOGY LTD            SHS          G7415M108     4   12230   SH        DEFINED    1     12230   0     0
RED HAT INC                     CALL         756577902  1288   31200   SH   CALL DEFINED    1     31200   0     0
RED HAT INC                     PUT          756577952  3472   84100   SH   PUT  DEFINED    1     84100   0     0
REGAL ENTMT GROUP               CL A         758766109   142   11922   SH        DEFINED    1     11922   0     0
REGENERON PHARMACEUTICALS       COM          75886F107   662   11948   SH        DEFINED    1     11948   0     0
REGENERON PHARMACEUTICALS       CALL         75886F907   388    7000   SH   CALL DEFINED    1      7000   0     0
REGENERON PHARMACEUTICALS       PUT          75886F957   227    4100   SH   PUT  DEFINED    1      4100   0     0
REGIONS FINANCIAL CORP NEW      COM          7591EP100   338   78656   SH        DEFINED    1     78656   0     0
REGIONS FINANCIAL CORP NEW      CALL         7591EP900   847  196900   SH   CALL DEFINED    1    196900   0     0
REGIONS FINANCIAL CORP NEW      PUT          7591EP950  1189  276500   SH   PUT  DEFINED    1    276500   0     0
RENESOLA LTD                    SPONS ADS    75971T103    29   19244   SH        DEFINED    1     19244   0     0
RENTECH INC                     COM          760112102    43   32754   SH        DEFINED    1     32754   0     0
RESEARCH IN MOTION LTD          COM          760975102  2843  196178   SH        DEFINED    1    196178   0     0
RESEARCH IN MOTION LTD          CALL         760975902  8867  611500   SH   CALL DEFINED    1    611500   0     0
RESEARCH IN MOTION LTD          PUT          760975952 14261  983500   SH   PUT  DEFINED    1    983500   0     0
REVENUESHARES ETF TR            MID CAP FD   761396209   214    7585   SH        DEFINED    1      7585   0     0
REXAHN PHARMACEUTICALS INC      COM          761640101    17   44285   SH        DEFINED    1     44285   0     0
REYNOLDS AMERICAN INC           COM          761713106  1049   25316   SH        DEFINED    1     25316   0     0
REYNOLDS AMERICAN INC           CALL         761713906  1528   36900   SH   CALL DEFINED    1     36900   0     0
REYNOLDS AMERICAN INC           PUT          761713956  2464   59500   SH   PUT  DEFINED    1     59500   0     0
RF MICRODEVICES INC             COM          749941100   182   33760   SH        DEFINED    1     33760   0     0
RF MICRODEVICES INC             CALL         749941900   541  100200   SH   CALL DEFINED    1    100200   0     0
RF MICRODEVICES INC             PUT          749941950   146   27000   SH   PUT  DEFINED    1     27000   0     0
RHINO RESOURCE PARTNERS LP COM  UNIT REPST   76218Y103   286   14834   SH        DEFINED    1     14834   0     0
RIGHTNOW TECHNOLOGIES INC       COM          76657R106   282    6593   SH        DEFINED    1      6593   0     0
RIO TINTO PLC                   CALL         767204900  2035   41600   SH   CALL DEFINED    1     41600   0     0
RIO TINTO PLC                   PUT          767204950   675   13800   SH   PUT  DEFINED    1     13800   0     0
RIVERBED TECHNOLOGY INC         COM          768573107  1158   49300   SH        DEFINED    1     49300   0     0
RIVERBED TECHNOLOGY INC         CALL         768573907  1398   59500   SH   CALL DEFINED    1     59500   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                  ----------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
RIVERBED TECHNOLOGY INC      PUT               768573957  2378  101200   SH   PUT  DEFINED    1    101200   0     0
RLI CORP                     COM               749607107   216    2971   SH        DEFINED    1      2971   0     0
ROCKWELL AUTOMATION INC      CALL              773903909   286    3900   SH   CALL DEFINED    1      3900   0     0
ROCKWELL AUTOMATION INC      PUT               773903959   213    2900   SH   PUT  DEFINED    1      2900   0     0
ROCKWOOD HLDGS INC           CALL              774415903   252    6400   SH   CALL DEFINED    1      6400   0     0
ROCKWOOD HLDGS INC           PUT               774415953   476   12100   SH   PUT  DEFINED    1     12100   0     0
RODMAN & RENSHAW CAP GP INC  COM               77487R100    22   52626   SH        DEFINED    1     52626   0     0
ROSETTA GENOMICS LTD         SHS               M82183118    13   75332   SH        DEFINED    1     75332   0     0
ROSETTA RESOURCES INC        COM               777779307   281    6471   SH        DEFINED    1      6471   0     0
ROSS STORES INC              COM               778296103  1027   21617   SH        DEFINED    1     21617   0     0
ROSS STORES INC              CALL              778296903  3299   69400   SH   CALL DEFINED    1     69400   0     0
ROSS STORES INC              PUT               778296953  2224   46800   SH   PUT  DEFINED    1     46800   0     0
ROVI CORP                    COM               779376102   592   24122   SH        DEFINED    1     24122   0     0
ROWAN COS INC                CALL              779382900  1598   52700   SH   CALL DEFINED    1     52700   0     0
ROWAN COS INC                PUT               779382950  1301   42900   SH   PUT  DEFINED    1     42900   0     0
ROYAL BK CDA MONTREAL QUE    CALL              780087902  1187   23300   SH   CALL DEFINED    1     23300   0     0
ROYAL BK CDA MONTREAL QUE    PUT               780087952  2186   42900   SH   PUT  DEFINED    1     42900   0     0
ROYAL BK SCOTLAND GROUP PLC  SPONS ADR 20 ORD  780097689   156   24532   SH        DEFINED    1     24532   0     0
ROYAL CARIBBEAN CRUISES LTD  CALL              V7780T903   429   17300   SH   CALL DEFINED    1     17300   0     0
ROYAL CARIBBEAN CRUISES LTD  PUT               V7780T953  2304   93000   SH   PUT  DEFINED    1     93000   0     0
ROYAL DUTCH SHELL PLC        SPONS ADR A       780259206  1596   21830   SH        DEFINED    1     21830   0     0
ROYAL GOLD INC               COM               780287108   531    7869   SH        DEFINED    1      7869   0     0
ROYAL GOLD INC               CALL              780287908  4026   59700   SH   CALL DEFINED    1     59700   0     0
ROYAL GOLD INC               PUT               780287958  1659   24600   SH   PUT  DEFINED    1     24600   0     0
ROYALE ENERGY INC            COM NEW           78074G200    81   17723   SH        DEFINED    1     17723   0     0
RPC INC                      CALL              749660906   257   14100   SH   CALL DEFINED    1     14100   0     0
RPC INC                      PUT               749660956   274   15000   SH   PUT  DEFINED    1     15000   0     0
RTI BIOLOGICS INC            COM               74975N105    56   12681   SH        DEFINED    1     12681   0     0
RUSSELL EXCHANGE TRADED      FDS SMALL CAP ETF 782474472  2973   48858   SH        DEFINED    1     48858   0     0
RUSSELL EXCHANGE TRADED      FDS SMALL CAP ETF 782474498   719   12418   SH        DEFINED    1     12418   0     0
RUSSELL EXCHANGE TRADED      FDS SMALL CAP ETF 782474514  1834   32613   SH        DEFINED    1     32613   0     0
RYDEX ETF TRUST              S&P500 PUR GRW    78355W403   295    6829   SH        DEFINED    1      6829   0     0
RYDEX ETF TRUST              S&PMC400 PURGR    78355W601  1298   16546   SH        DEFINED    1     16546   0     0
RYDEX ETF TRUST              TECHNOLOGY ETF    78355W817   254    5089   SH        DEFINED    1      5089   0     0
RYDEX ETF TRUST              MATERIALS ETF     78355W825   269    4781   SH        DEFINED    1      4781   0     0
RYDEX ETF TRUST              HEALTH CARE       78355W841   229    3447   SH        DEFINED    1      3447   0     0
SAFE BULKERS INC             COM               Y7388L103   163   27233   SH        DEFINED    1     27233   0     0
SAFEWAY INC                  COM NEW           786514208   242   11499   SH        DEFINED    1     11499   0     0
SAFEWAY INC                  CALL              786514908   739   35100   SH   CALL DEFINED    1     35100   0     0
SAFEWAY INC                  PUT               786514958   980   46600   SH   PUT  DEFINED    1     46600   0     0
SAIC INC                     CALL              78390X901   176   14300   SH   CALL DEFINED    1     14300   0     0
SAKS INC                     CALL              79377W908   265   27200   SH   CALL DEFINED    1     27200   0     0
SAKS INC                     PUT               79377W958   335   34400   SH   PUT  DEFINED    1     34400   0     0
SALESFORCE COM INC           CALL              79466L902  6321   62300   SH   CALL DEFINED    1     62300   0     0
SALESFORCE COM INC           PUT               79466L952 12611  124300   SH   PUT  DEFINED    1    124300   0     0
SAMSON OIL & GAS LTD         SPON ADR          796043107   167   85429   SH        DEFINED    1     85429   0     0
SAN JUAN BASIN RTY TR        UNIT BEN INT      798241105   262   11525   SH        DEFINED    1     11525   0     0
SANDISK CORP                 COM               80004C101  1015   20640   SH        DEFINED    1     20640   0     0
SANDISK CORP                 CALL              80004C901 12150  246900   SH   CALL DEFINED    1    246900   0     0
SANDISK CORP                 PUT               80004C951  4719   95900   SH   PUT  DEFINED    1     95900   0     0
SANDRIDGE ENERGY INC         CALL              80007P907  1155  141600   SH   CALL DEFINED    1    141600   0     0
SANDRIDGE ENERGY INC         PUT               80007P957   805   98700   SH   PUT  DEFINED    1     98700   0     0
SANGAMO BIOSCIENCES INC      COM               800677106    43   15308   SH        DEFINED    1     15308   0     0
SANMINA SCI CORP             COM NEW           800907206   120   12872   SH        DEFINED    1     12872   0     0
SANOFI AVENTIS               CALL              80105N905  1019   27900   SH   CALL DEFINED    1     27900   0     0
SANOFI AVENTIS               PUT               80105N955   446   12200   SH   PUT  DEFINED    1     12200   0     0
SAP AG                       SPON ADR          803054204   820   15481   SH        DEFINED    1     15481   0     0
SAP AG                       CALL              803054904   482    9100   SH   CALL DEFINED    1      9100   0     0
SAP AG                       PUT               803054954  1064   20100   SH   PUT  DEFINED    1     20100   0     0
SAPIENT CORP                 COM               803062108   131   10377   SH        DEFINED    1     10377   0     0
SARA LEE CORP                CALL              803111903   967   51100   SH   CALL DEFINED    1     51100   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
SARA LEE CORP                 PUT            803111953  2479  131000   SH   PUT  DEFINED    1    131000   0     0
SATCON TECHNOLOGY CORP        COM            803893106    82  136110   SH        DEFINED    1    136110   0     0
SAVIENT PHARMACEUTICALS INC   COM            80517Q100   207   92922   SH        DEFINED    1     92922   0     0
SBA COMMUNICATIONS CORP       CALL           78388J906   369    8600   SH   CALL DEFINED    1      8600   0     0
SBA COMMUNICATIONS CORP       PUT            78388J956   687   16000   SH   PUT  DEFINED    1     16000   0     0
SCHEIN HENRY INC              COM            806407102   668   10367   SH        DEFINED    1     10367   0     0
SCHLUMBERGER LTD              CALL           806857908 10199  149300   SH   CALL DEFINED    1    149300   0     0
SCHLUMBERGER LTD              PUT            806857958 15083  220800   SH   PUT  DEFINED    1    220800   0     0
SCHNITZER STL INDS            CALL           806882906   664   15700   SH   CALL DEFINED    1     15700   0     0
SCHNITZER STL INDS            PUT            806882956   562   13300   SH   PUT  DEFINED    1     13300   0     0
SCHOOL SPECIALTY INC          COM            807863105    27   10769   SH        DEFINED    1     10769   0     0
SCHWAB CHARLES CORP NEW       CALL           808513905   393   34900   SH   CALL DEFINED    1     34900   0     0
SCHWAB CHARLES CORP NEW       PUT            808513955   324   28800   SH   PUT  DEFINED    1     28800   0     0
SCICLONE PHARMACEUTICALS INC  COM            80862K104    84   19693   SH        DEFINED    1     19693   0     0
SCRIPPS NETWORKS INTERACT IN  CL A COM       811065101   278    6561   SH        DEFINED    1      6561   0     0
SEABOARD CORP                 COM            811543107   208     102   SH        DEFINED    1       102   0     0
SEABRIDGE GOLD INC            PUT            811916955   253   15700   SH   PUT  DEFINED    1     15700   0     0
SEACOAST BKG CORP FLA         COM            811707306    40   26221   SH        DEFINED    1     26221   0     0
SEACOR HOLDINGS INC           COM            811904101   261    2933   SH        DEFINED    1      2933   0     0
SEADRILL LIMITED              SHS            G7945E105   275    8298   SH        DEFINED    1      8298   0     0
SEADRILL LIMITED              CALL           G7945E905  1337   40300   SH   CALL DEFINED    1     40300   0     0
SEADRILL LIMITED              PUT            G7945E955   747   22500   SH   PUT  DEFINED    1     22500   0     0
SEAGATE TECHNOLOGY PLC        SHS            G7945M107   437   26645   SH        DEFINED    1     26645   0     0
SEAGATE TECHNOLOGY PLC        CALL           G7945M907  2270  138400   SH   CALL DEFINED    1    138400   0     0
SEAGATE TECHNOLOGY PLC        PUT            G7945M957  1599   97500   SH   PUT  DEFINED    1     97500   0     0
SEARS HLDGS CORP              COM            812350106  1283   40357   SH        DEFINED    1     40357   0     0
SEATTLE GENETICS INC          COM            812578102   282   16905   SH        DEFINED    1     16905   0     0
SELECT SECTOR SPDR TR         SBI HEALTHCARE 81369Y209   284    8187   SH        DEFINED    1      8187   0     0
SELECT SECTOR SPDR TR         SBI INT-TECH   81369Y803   572   22484   SH        DEFINED    1     22484   0     0
SELECT SECTOR SPDR TR         CALL           81369Y906   486   13500   SH   CALL DEFINED    1     13500   0     0
SELECT SECTOR SPDR TR         CALL           81369Y906  6692   96800   SH   CALL DEFINED    1     96800   0     0
SELECT SECTOR SPDR TR         CALL           81369Y905  2887  222100   SH   CALL DEFINED    1    222100   0     0
SELECT SECTOR SPDR TR         CALL           81369Y904   344   10200   SH   CALL DEFINED    1     10200   0     0
SELECT SECTOR SPDR TR         PUT            81369Y956 15914  230200   SH   PUT  DEFINED    1    230200   0     0
SELECT SECTOR SPDR TR         PUT            81369Y955  4323  332500   SH   PUT  DEFINED    1    332500   0     0
SEMTECH CORP                  COM            816850101   254   10227   SH        DEFINED    1     10227   0     0
SEQUENOM INC                  COM NEW        817337405   105   23733   SH        DEFINED    1     23733   0     0
SEVEN ARTS ENTMT INC          COM            81783N102     7   22105   SH        DEFINED    1     22105   0     0
SGOCO TECHNOLOGY LTD          SHS            G80751103    15   12061   SH        DEFINED    1     12061   0     0
SHANDA GAMES LTD              SP ADR REPTG A 81941U105    76   19416   SH        DEFINED    1     19416   0     0
SHANDA INTERACTIVE ENTMT LTD  SPONSORED ADR  81941Q203   557   13919   SH        DEFINED    1     13919   0     0
SHAW GROUP INC                CALL           820280905   933   34700   SH   CALL DEFINED    1     34700   0     0
SHAW GROUP INC                PUT            820280955  1746   64900   SH   PUT  DEFINED    1     64900   0     0
SHENGKAI INNOVATIONS INC      COM            82321P104    12   18991   SH        DEFINED    1     18991   0     0
SHERWIN WILLIAMS CO           CALL           824348906   678    7600   SH   CALL DEFINED    1      7600   0     0
SHERWIN WILLIAMS CO           PUT            824348956  1446   16200   SH   PUT  DEFINED    1     16200   0     0
SHUTTERFLY INC                CALL           82568P904   621   27300   SH   CALL DEFINED    1     27300   0     0
SHUTTERFLY INC                PUT            82568P954   273   12000   SH   PUT  DEFINED    1     12000   0     0
SIEMENS A G                   CALL           826197901  1826   19100   SH   CALL DEFINED    1     19100   0     0
SIEMENS A G                   PUT            826197951  1090   11400   SH   PUT  DEFINED    1     11400   0     0
SIGMA ALDRICH CORP            COM            826552101   336    5373   SH        DEFINED    1      5373   0     0
SIGNATURE BK NEW YORK N Y     COM            82669G104   272    4535   SH        DEFINED    1      4535   0     0
SILICON GRAPHICS INTL CORP    COM            82706L108   147   12822   SH        DEFINED    1     12822   0     0
SILICON LABORATORIES INC      COM            826919102   219    5040   SH        DEFINED    1      5040   0     0
SILICON LABORATORIES INC      CALL           826919902   747   17200   SH   CALL DEFINED    1     17200   0     0
SILICON LABORATORIES INC      PUT            826919952   452   10400   SH   PUT  DEFINED    1     10400   0     0
SILICONWARE PRECISION INDS L  SPONSD ADR SPL 827084864   167   38433   SH        DEFINED    1     38433   0     0
SILVER STD RES INC            COM            82823L106   743   53858   SH        DEFINED    1     53858   0     0
SILVER STD RES INC            CALL           82823L906   607   43900   SH   CALL DEFINED    1     43900   0     0
SILVER STD RES INC            PUT            82823L956   491   35500   SH   PUT  DEFINED    1     35500   0     0
SILVER WHEATON CORP           COM            828336107   224    7725   SH        DEFINED    1      7725   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
SILVER WHEATON CORP           CALL           828336907  1981   68400   SH   CALL DEFINED    1     68400   0     0
SILVER WHEATON CORP           PUT            828336957  1051   36300   SH   PUT  DEFINED    1     36300   0     0
SIMON PPTY GROUP INC NEW      COM            828806109   604    4682   SH        DEFINED    1      4682   0     0
SIMON PPTY GROUP INC NEW      CALL           828806909  3095   24000   SH   CALL DEFINED    1     24000   0     0
SIMON PPTY GROUP INC NEW      PUT            828806959  9077   70400   SH   PUT  DEFINED    1     70400   0     0
SINA CORP                     ORD            G81477104  3912   75240   SH        DEFINED    1     75240   0     0
SINA CORP                     CALL           G81477904  4352   83700   SH   CALL DEFINED    1     83700   0     0
SINA CORP                     PUT            G81477954  5694  109500   SH   PUT  DEFINED    1    109500   0     0
SINOVAC BIOTECH LTD           SHS            P8696W104    53   24341   SH        DEFINED    1     24341   0     0
SIRIUS XM RADIO INC           COM            82967N108   117   64885   SH        DEFINED    1     64885   0     0
SIRONA DENTAL SYSTEMS INC     COM            82966C103   244    5541   SH        DEFINED    1      5541   0     0
SK TELECOM LTD                SPONSORED ADR  78440P108   171   12590   SH        DEFINED    1     12590   0     0
SKECHERS U S A INC            CALL           830566905   406   33500   SH   CALL DEFINED    1     33500   0     0
SKECHERS U S A INC            PUT            830566955   268   22100   SH   PUT  DEFINED    1     22100   0     0
SKY-MOBI LTD                  SPONSORED ADS  83084G109    50   16301   SH        DEFINED    1     16301   0     0
SKYWORKS SOLUTIONS INC        COM            83088M102   299   18491   SH        DEFINED    1     18491   0     0
SKYWORKS SOLUTIONS INC        CALL           83088M902  2058  126900   SH   CALL DEFINED    1    126900   0     0
SKYWORKS SOLUTIONS INC        PUT            83088M952  1092   67300   SH   PUT  DEFINED    1     67300   0     0
SL GREEN RLTY CORP            CALL           78440X901   673   10100   SH   CALL DEFINED    1     10100   0     0
SL GREEN RLTY CORP            PUT            78440X951   473    7100   SH   PUT  DEFINED    1      7100   0     0
SLM CORP                      COM            78442P106   188   14042   SH        DEFINED    1     14042   0     0
SLM CORP                      CALL           78442P906   225   16800   SH   CALL DEFINED    1     16800   0     0
SLM CORP                      PUT            78442P956   709   52900   SH   PUT  DEFINED    1     52900   0     0
SMART BALANCE INC             COM            83169Y108    97   18141   SH        DEFINED    1     18141   0     0
SMARTHEAT INC                 COM            83172F104     7   21470   SH        DEFINED    1     21470   0     0
SMITH & WESSON HLDG CORP      COM            831756101    76   17488   SH        DEFINED    1     17488   0     0
SMITH MICRO SOFTWARE INC      COM            832154108    12   10326   SH        DEFINED    1     10326   0     0
SMITHFIELD FOODS INC          CALL           832248908  1328   54700   SH   CALL DEFINED    1     54700   0     0
SMITHFIELD FOODS INC          PUT            832248958  1173   48300   SH   PUT  DEFINED    1     48300   0     0
SMUCKER J M CO                COM NEW        832696405   407    5208   SH        DEFINED    1      5208   0     0
SMUCKER J M CO                CALL           832696905   594    7600   SH   CALL DEFINED    1      7600   0     0
SMUCKER J M CO                PUT            832696955  1665   21300   SH   PUT  DEFINED    1     21300   0     0
SODASTREAM INTERNATIONAL LTD
 USD                          SHS            M9068E105   275    8423   SH        DEFINED    1      8423   0     0
SOHU COM INC                  CALL           83408W903  2500   50000   SH   CALL DEFINED    1     50000   0     0
SOHU COM INC                  PUT            83408W953  5560  111200   SH   PUT  DEFINED    1    111200   0     0
SOMAXON PHARMACEUTICALS INC   COM            834453102    12   27136   SH        DEFINED    1     27136   0     0
SONIC CORP                    COM            835451105   129   19268   SH        DEFINED    1     19268   0     0
SONY CORP                     ADR NEW        835699307   256   14195   SH        DEFINED    1     14195   0     0
SONY CORP                     CALL           835699907   350   19400   SH   CALL DEFINED    1     19400   0     0
SORL AUTO PTS INC             COM            78461U101    47   20111   SH        DEFINED    1     20111   0     0
SOTHEBYS                      CALL           835898907   448   15700   SH   CALL DEFINED    1     15700   0     0
SOTHEBYS                      PUT            835898957   705   24700   SH   PUT  DEFINED    1     24700   0     0
SOUTHERN CO                   CALL           842587907  5541  119700   SH   CALL DEFINED    1    119700   0     0
SOUTHERN CO                   PUT            842587957  3532   76300   SH   PUT  DEFINED    1     76300   0     0
SOUTHERN COPPER CORP          CALL           84265V905  5137  170200   SH   CALL DEFINED    1    170200   0     0
SOUTHERN COPPER CORP          PUT            84265V955  4765  157900   SH   PUT  DEFINED    1    157900   0     0
SOUTHWEST AIRLS CO            CALL           844741908   265   31000   SH   CALL DEFINED    1     31000   0     0
SOUTHWEST AIRLS CO            PUT            844741958   268   31300   SH   PUT  DEFINED    1     31300   0     0
SOUTHWESTERN ENERGY CO        COM            845467109  1003   31408   SH        DEFINED    1     31408   0     0
SOUTHWESTERN ENERGY CO        CALL           845467909  2431   76100   SH   CALL DEFINED    1     76100   0     0
SOUTHWESTERN ENERGY CO        PUT            845467959  3632  113700   SH   PUT  DEFINED    1    113700   0     0
SPDR DOW JONES INDL AVRG ETF  UT SER 1       78467X109   319    2621   SH        DEFINED    1      2621   0     0
SPDR DOW JONES INDL AVRG ETF  CALL           78467X909  2425   19900   SH   CALL DEFINED    1     19900   0     0
SPDR DOW JONES INDL AVRG ETF  PUT            78467X959  2023   16600   SH   PUT  DEFINED    1     16600   0     0
SPDR GOLD TRUST               GOLD SHS       78463V107  1459    9598   SH        DEFINED    1      9598   0     0
SPDR GOLD TRUST               CALL           78463V907 12843   84500   SH   CALL DEFINED    1     84500   0     0
SPDR GOLD TRUST               PUT            78463V957 12630   83100   SH   PUT  DEFINED    1     83100   0     0
SPDR INDEX SHS FDS            S&P CHINA ETF  78463X400   210    3368   SH        DEFINED    1      3368   0     0
SPDR INDEX SHS FDS            LATIN AMER ETF 78463X707   315    4571   SH        DEFINED    1      4571   0     0
SPDR INDEX SHS FDS            S&P EMKTSC ETF 78463X756   355    9412   SH        DEFINED    1      9412   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
SPDR INDEX SHS FDS            S&P BRIC 40ETF   78463X798   202    9215   SH        DEFINED    1      9215   0     0
SPDR S&P MIDCAP 400 ETF TR    UTSER1 S&PDCRP   78467Y107  2220   13913   SH        DEFINED    1     13913   0     0
SPDR SERIES TRUST             MORGAN TECH ETF  78464A102   312    5316   SH        DEFINED    1      5316   0     0
SPDR SERIES TRUST             BARCLY CNV ETF   78464A359   320    8860   SH        DEFINED    1      8860   0     0
SPDR SERIES TRUST             INTERMD CR ETF   78464A375   323    9717   SH        DEFINED    1      9717   0     0
SPDR SERIES TRUST             BRCLYS INTL ETF  78464A516   309    5260   SH        DEFINED    1      5260   0     0
SPDR SERIES TRUST             BRCLYS INTER ETF 78464A672   499    8169   SH        DEFINED    1      8169   0     0
SPDR SERIES TRUST             BRCLYS 1-3MT ETF 78464A680   455    9918   SH        DEFINED    1      9918   0     0
SPDR SERIES TRUST             S&P OILGAS EXP   78464A730   550   10439   SH        DEFINED    1     10439   0     0
SPDR SERIES TRUST             S&P METALS MNG   78464A755   275    5614   SH        DEFINED    1      5614   0     0
SPDR SERIES TRUST             DJ TTL MKT ETF   78464A805   505    5396   SH        DEFINED    1      5396   0     0
SPDR SERIES TRUST             DJ MID CAP ETF   78464A847   287    4947   SH        DEFINED    1      4947   0     0
SPDR TR                       UNIT SER 1       78462F103  2953   23533   SH        DEFINED    1     23533   0     0
SPDR TR                       CALL             78462F903 19365  154300   SH   CALL DEFINED    1    154300   0     0
SPDR TR                       PUT              78462F953 21435  170800   SH   PUT  DEFINED    1    170800   0     0
SPECTRA ENERGY CORP           CALL             847560909  1006   32700   SH   CALL DEFINED    1     32700   0     0
SPECTRA ENERGY CORP           PUT              847560959   421   13700   SH   PUT  DEFINED    1     13700   0     0
SPECTRUM PHARMACEUTICALS INC  COM              84763A108   322   22039   SH        DEFINED    1     22039   0     0
SPRINT NEXTEL CORP            COM SER 1        852061100   247  105560   SH        DEFINED    1    105560   0     0
SPX CORP                      CALL             784635904   338    5600   SH   CALL DEFINED    1      5600   0     0
SPX CORP                      PUT              784635954   820   13600   SH   PUT  DEFINED    1     13600   0     0
ST JUDE MED INC               CALL             790849903  2329   67900   SH   CALL DEFINED    1     67900   0     0
ST JUDE MED INC               PUT              790849953  1478   43100   SH   PUT  DEFINED    1     43100   0     0
STAAR SURGICAL CO             COM PAR $0.01    852312305   132   12625   SH        DEFINED    1     12625   0     0
STANDARD PAC CORP NEW         CALL             85375C901    58   18200   SH   CALL DEFINED    1     18200   0     0
STANDARD PAC CORP NEW         PUT              85375C951    42   13300   SH   PUT  DEFINED    1     13300   0     0
STANDARD REGISTER CO          COM              853887107    30   12797   SH        DEFINED    1     12797   0     0
STANLEY BLACK & DECKER INC    UNIT 99/99/9999  854502309   439    3748   SH        DEFINED    1      3748   0     0
STANLEY BLACK & DECKER INC    CALL             854502901  2467   36500   SH   CALL DEFINED    1     36500   0     0
STANLEY BLACK & DECKER INC    PUT              854502951  3596   53200   SH   PUT  DEFINED    1     53200   0     0
STAPLES INC                   COM              855030102   518   37338   SH        DEFINED    1     37338   0     0
STAPLES INC                   CALL             855030902  1717  123600   SH   CALL DEFINED    1    123600   0     0
STAPLES INC                   PUT              855030952  1028   74000   SH   PUT  DEFINED    1     74000   0     0
STAR BULK CARRIERS CORP       COM              Y8162K105    47   53464   SH        DEFINED    1     53464   0     0
STAR GAS PARTNERS L P         UNIT LTD PARTNR  85512C105    73   15023   SH        DEFINED    1     15023   0     0
STAR SCIENTIFIC INC           COM              85517P101   177   81450   SH        DEFINED    1     81450   0     0
STARBUCKS CORP                CALL             855244909  5802  126100   SH   CALL DEFINED    1    126100   0     0
STARBUCKS CORP                PUT              855244959 11834  257200   SH   PUT  DEFINED    1    257200   0     0
STARWOOD HOTELS&RESORTS
 WRLD                         COM              85590A401   398    8304   SH        DEFINED    1      8304   0     0
STARWOOD HOTELS&RESORTS
 WRLD                         CALL             85590A901  3411   71100   SH   CALL DEFINED    1     71100   0     0
STARWOOD HOTELS&RESORTS
 WRLD                         PUT              85590A951  3670   76500   SH   PUT  DEFINED    1     76500   0     0
STATE STR CORP                COM              857477103   860   21324   SH        DEFINED    1     21324   0     0
STATE STR CORP                CALL             857477903  3620   89800   SH   CALL DEFINED    1     89800   0     0
STATE STR CORP                PUT              857477953  3749   93000   SH   PUT  DEFINED    1     93000   0     0
STATOILHYDRO ASA              SPONSORED ADR    85771P102   315   12287   SH        DEFINED    1     12287   0     0
STEC INC                      COM              784774101   293   34122   SH        DEFINED    1     34122   0     0
STEC INC                      CALL             784774901   140   16300   SH   CALL DEFINED    1     16300   0     0
STEC INC                      PUT              784774951   620   72200   SH   PUT  DEFINED    1     72200   0     0
STEEL DYNAMICS INC            COM              858119100   523   39772   SH        DEFINED    1     39772   0     0
STEEL DYNAMICS INC            CALL             858119900   942   71600   SH   CALL DEFINED    1     71600   0     0
STEEL DYNAMICS INC            PUT              858119950  1243   94500   SH   PUT  DEFINED    1     94500   0     0
STEMCELLS INC                 COM NEW          85857R204    29   35706   SH        DEFINED    1     35706   0     0
STEREOTAXIS INC               COM              85916J102    75   90317   SH        DEFINED    1     90317   0     0
STERICYCLE INC                COM              858912108  1249   16031   SH        DEFINED    1     16031   0     0
STERLITE INDS INDIA LTD       PUT              859737957   186   26800   SH   PUT  DEFINED    1     26800   0     0
STILLWATER MNG CO             COM              86074Q102   260   24837   SH        DEFINED    1     24837   0     0
STILLWATER MNG CO             CALL             86074Q902  1553  148500   SH   CALL DEFINED    1    148500   0     0
STILLWATER MNG CO             PUT              86074Q952   823   78700   SH   PUT  DEFINED    1     78700   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
STONE ENERGY CORP             COM            861642106  227     8589   SH        DEFINED    1      8589   0     0
STONE ENERGY CORP             CALL           861642906  288    10900   SH   CALL DEFINED    1     10900   0     0
STONE ENERGY CORP             PUT            861642956  412    15600   SH   PUT  DEFINED    1     15600   0     0
STONE HBR EMERG MRKTS INC FD  COM            86164T107  384    18432   SH        DEFINED    1     18432   0     0
STONEMOR PARTNERS L P         COM UNITS      86183Q100  464    19771   SH        DEFINED    1     19771   0     0
STRAYER ED INC                COM            863236105  338     3476   SH        DEFINED    1      3476   0     0
STRYKER CORP                  COM            863667101  254     5104   SH        DEFINED    1      5104   0     0
STRYKER CORP                  CALL           863667901 2789    56100   SH   CALL DEFINED    1     56100   0     0
STRYKER CORP                  PUT            863667951 2998    60300   SH   PUT  DEFINED    1     60300   0     0
SUCCESSFACTORS INC            COM            864596101  284     7131   SH        DEFINED    1      7131   0     0
SUCCESSFACTORS INC            CALL           864596901  215     5400   SH   CALL DEFINED    1      5400   0     0
SUN LIFE FINL INC             COM            866796105  211    11420   SH        DEFINED    1     11420   0     0
SUNCOR ENERGY INC NEW         CALL           867224907  646    22400   SH   CALL DEFINED    1     22400   0     0
SUNCOR ENERGY INC NEW         PUT            867224957 1372    47600   SH   PUT  DEFINED    1     47600   0     0
SUNESIS PHARMACEUTICALS INC   COM NEW        867328601   15    13186   SH        DEFINED    1     13186   0     0
SUNOCO INC                    CALL           86764P909  792    19300   SH   CALL DEFINED    1     19300   0     0
SUNOCO INC                    PUT            86764P959 4467   108900   SH   PUT  DEFINED    1    108900   0     0
SUNTECH PWR HLDGS CO LTD      ADR            86800C104   66    29647   SH        DEFINED    1     29647   0     0
SUNTRUST BKS INC              CALL           867914903 1248    70500   SH   CALL DEFINED    1     70500   0     0
SUNTRUST BKS INC              PUT            867914953 1287    72700   SH   PUT  DEFINED    1     72700   0     0
SUPERCONDUCTOR TECHNOLOGIES   COM NEW        867931305   33    28171   SH        DEFINED    1     28171   0     0
SUPERIOR ENERGY SVCS INC      PUT            868157958  336    11800   SH   PUT  DEFINED    1     11800   0     0
SUPERVALU INC                 COM            868536103  109    13450   SH        DEFINED    1     13450   0     0
SUPERVALU INC                 CALL           868536903 1406   173100   SH   CALL DEFINED    1    173100   0     0
SUPERVALU INC                 PUT            868536953 1250   153900   SH   PUT  DEFINED    1    153900   0     0
SUSQUEHANNA BANCSHARES INC P  COM            869099101  125    14901   SH        DEFINED    1     14901   0     0
SWEDISH EXPT CR CORP          ROG ARGI ETN22 870297603  187    20920   SH        DEFINED    1     20920   0     0
SWS GROUP INC                 COM            78503N107   93    13471   SH        DEFINED    1     13471   0     0
SXC HEALTH SOLUTIONS CORP     COM            78505P100  217     3847   SH        DEFINED    1      3847   0     0
SYMANTEC CORP                 CALL           871503908 1324    84600   SH   CALL DEFINED    1     84600   0     0
SYMANTEC CORP                 PUT            871503958  230    14700   SH   PUT  DEFINED    1     14700   0     0
SYNAPTICS INC                 COM            87157D109  459    15222   SH        DEFINED    1     15222   0     0
SYNAPTICS INC                 CALL           87157D909  452    15000   SH   CALL DEFINED    1     15000   0     0
SYNAPTICS INC                 PUT            87157D959 1161    38500   SH   PUT  DEFINED    1     38500   0     0
SYNOPSYS INC                  COM            871607107  536    19698   SH        DEFINED    1     19698   0     0
SYNOVUS FINL CORP             COM            87161C105   57    40481   SH        DEFINED    1     40481   0     0
SYNOVUS FINL CORP             CALL           87161C905  190   134500   SH   CALL DEFINED    1    134500   0     0
SYNOVUS FINL CORP             PUT            87161C955   16    11300   SH   PUT  DEFINED    1     11300   0     0
SYNTROLEUM CORP               COM            871630109   20    20540   SH        DEFINED    1     20540   0     0
SYSCO CORP                    COM            871829107  206     7032   SH        DEFINED    1      7032   0     0
SYSCO CORP                    CALL           871829907 4470   152400   SH   CALL DEFINED    1    152400   0     0
SYSCO CORP                    PUT            871829957 2684    91500   SH   PUT  DEFINED    1     91500   0     0
TAIWAN SEMICONDUCTOR MFG LTD  SPONSORED ADR  874039100  147    11382   SH        DEFINED    1     11382   0     0
TAIWAN SEMICONDUCTOR MFG LTD  PUT            874039950  272    21100   SH   PUT  DEFINED    1     21100   0     0
TAKE-TWO INTERACTIVE SOFTWAR  COM            874054109  185    13664   SH        DEFINED    1     13664   0     0
TAKE-TWO INTERACTIVE SOFTWAR  CALL           874054909  427    31500   SH   CALL DEFINED    1     31500   0     0
TAKE-TWO INTERACTIVE SOFTWAR  PUT            874054959  822    60700   SH   PUT  DEFINED    1     60700   0     0
TALISMAN ENERGY INC           PUT            87425E953  138    10800   SH   PUT  DEFINED    1     10800   0     0
TARGET CORP                   CALL           87612E906 5578   108900   SH   CALL DEFINED    1    108900   0     0
TARGET CORP                   PUT            87612E956 7668   149700   SH   PUT  DEFINED    1    149700   0     0
TASER INTL INC                COM            87651B104  129    25261   SH        DEFINED    1     25261   0     0
TASER INTL INC                CALL           87651B904   56    11000   SH   CALL DEFINED    1     11000   0     0
TASMAN METALS LTD             COM            87652B103   26    16782   SH        DEFINED    1     16782   0     0
TATA MTRS LTD                 SPONSORED ADR  876568502  174    10305   SH        DEFINED    1     10305   0     0
TATA MTRS LTD                 CALL           876568902  987    58400   SH   CALL DEFINED    1     58400   0     0
TATA MTRS LTD                 PUT            876568952 1685    99700   SH   PUT  DEFINED    1     99700   0     0
TBS INTERNATIONAL PLC         CL A SHS       G8657Q104    3    16607   SH        DEFINED    1     16607   0     0
TC PIPELINES LP               UT COM LTD PRT 87233Q108  206     4353   SH        DEFINED    1      4353   0     0
TCF FINL CORP                 CALL           872275902  165    16000   SH   CALL DEFINED    1     16000   0     0
TCW STRATEGIC INCOME FUND IN  COM            872340104  187    38541   SH        DEFINED    1     38541   0     0
TD AMERITRADE HLDG CORP       CALL           87236Y908 1241    79300   SH   CALL DEFINED    1     79300   0     0






                                 ISSUER               VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION    CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                             
TD AMERITRADE HLDG CORP       PUT           87236Y958  645    41200   SH   PUT  DEFINED    1     41200   0     0
TEARLAB CORP                  COM           878193101   13    11391   SH        DEFINED    1     11391   0     0
TECH DATA CORP                COM           878237106 1062    21490   SH        DEFINED    1     21490   0     0
TECK RESOURCES LTD            CL B          878742204  345     9791   SH        DEFINED    1      9791   0     0
TECK RESOURCES LTD            PUT           878742954  253     7200   SH   PUT  DEFINED    1      7200   0     0
TEEKAY TANKERS LTD            CL A          Y8565N102  107    30535   SH        DEFINED    1     30535   0     0
TELEDYNE TECHNOLOGIES INC     COM           879360105  458     8349   SH        DEFINED    1      8349   0     0
TELEFONICA S A                SPONSORED ADR 879382208 1514    88102   SH        DEFINED    1     88102   0     0
TELIK INC                     COM           87959M109   47   273873   SH        DEFINED    1    273873   0     0
TELLABS INC                   COM           879664100  450   111553   SH        DEFINED    1    111553   0     0
TELLABS INC                   CALL          879664900  319    79000   SH   CALL DEFINED    1     79000   0     0
TELLABS INC                   PUT           879664950  120    29700   SH   PUT  DEFINED    1     29700   0     0
TEMPLE INLAND INC             COM           879868107  468    14744   SH        DEFINED    1     14744   0     0
TEMPUR PEDIC INTL INC         COM           88023U101  482     9174   SH        DEFINED    1      9174   0     0
TEMPUR PEDIC INTL INC         CALL          88023U901  888    16900   SH   CALL DEFINED    1     16900   0     0
TEMPUR PEDIC INTL INC         PUT           88023U951 2485    47300   SH   PUT  DEFINED    1     47300   0     0
TENGASCO INC                  COM NEW       88033R205   10    14773   SH        DEFINED    1     14773   0     0
TENGION INC                   COM           88034G109    6    13425   SH        DEFINED    1     13425   0     0
TENNESSEE COMMERCE BANCORP I  COM           88043P108    3    43973   SH        DEFINED    1     43973   0     0
TERADATA CORP DEL             COM           88076W103  624    12873   SH        DEFINED    1     12873   0     0
TERADATA CORP DEL             CALL          88076W903 3182    65600   SH   CALL DEFINED    1     65600   0     0
TERADATA CORP DEL             PUT           88076W953 1528    31500   SH   PUT  DEFINED    1     31500   0     0
TERADYNE INC                  CALL          880770902  478    35100   SH   CALL DEFINED    1     35100   0     0
TERADYNE INC                  PUT           880770952  447    32800   SH   PUT  DEFINED    1     32800   0     0
TEREX CORP NEW                CALL          880779903  736    54500   SH   CALL DEFINED    1     54500   0     0
TEREX CORP NEW                PUT           880779953  893    66100   SH   PUT  DEFINED    1     66100   0     0
TESORO CORP                   CALL          881609901  741    31700   SH   CALL DEFINED    1     31700   0     0
TESORO CORP                   PUT           881609951 1476    63200   SH   PUT  DEFINED    1     63200   0     0
TESSERA TECHNOLOGIES INC      CALL          88164L900  784    46800   SH   CALL DEFINED    1     46800   0     0
TESSERA TECHNOLOGIES INC      PUT           88164L950  456    27200   SH   PUT  DEFINED    1     27200   0     0
TEVA PHARMACEUTICAL INDS LTD  ADR           881624209 2094    51887   SH        DEFINED    1     51887   0     0
TEVA PHARMACEUTICAL INDS LTD  CALL          881624909 7878   195200   SH   CALL DEFINED    1    195200   0     0
TEVA PHARMACEUTICAL INDS LTD  PUT           881624959 8100   200700   SH   PUT  DEFINED    1    200700   0     0
TEXAS INSTRS INC              COM           882508104 1161    39874   SH        DEFINED    1     39874   0     0
TEXAS INSTRS INC              CALL          882508904 2850    97900   SH   CALL DEFINED    1     97900   0     0
TEXAS INSTRS INC              PUT           882508954 5540   190300   SH   PUT  DEFINED    1    190300   0     0
TEXTRON INC                   CALL          883203901  616    33300   SH   CALL DEFINED    1     33300   0     0
TEXTRON INC                   PUT           883203951  416    22500   SH   PUT  DEFINED    1     22500   0     0
THERMO FISHER SCIENTIFIC INC  CALL          883556902 1358    30200   SH   CALL DEFINED    1     30200   0     0
THERMO FISHER SCIENTIFIC INC  PUT           883556952 2325    51700   SH   PUT  DEFINED    1     51700   0     0
THESTREET COM                 COM           88368Q103   31    18394   SH        DEFINED    1     18394   0     0
THQ INC                       COM NEW       872443403   86   113289   SH        DEFINED    1    113289   0     0
TIANYIN PHARMACEUTICAL CO IN  COM           88630M104    9    14660   SH        DEFINED    1     14660   0     0
TIBCO SOFTWARE INC            COM           88632Q103 1251    52350   SH        DEFINED    1     52350   0     0
TIBCO SOFTWARE INC            CALL          88632Q903 1473    61600   SH   CALL DEFINED    1     61600   0     0
TIBCO SOFTWARE INC            PUT           88632Q953 1437    60100   SH   PUT  DEFINED    1     60100   0     0
TIBET PHARMACEUTICALS INC     COM           G88615102   18    19962   SH        DEFINED    1     19962   0     0
TIFFANY & CO NEW              CALL          886547908 3499    52800   SH   CALL DEFINED    1     52800   0     0
TIFFANY & CO NEW              PUT           886547958 5440    82100   SH   PUT  DEFINED    1     82100   0     0
TIMBERLINE RES CORP           COM           887133106   16    27996   SH        DEFINED    1     27996   0     0
TIME WARNER CABLE INC         CALL          88732J907  922    14500   SH   CALL DEFINED    1     14500   0     0
TIME WARNER CABLE INC         PUT           88732J957 2244    35300   SH   PUT  DEFINED    1     35300   0     0
TIME WARNER INC               COM NEW       887317303  923    25536   SH        DEFINED    1     25536   0     0
TIME WARNER INC               CALL          887317903 2631    72800   SH   CALL DEFINED    1     72800   0     0
TIME WARNER INC               PUT           887317953 3488    96500   SH   PUT  DEFINED    1     96500   0     0
TITANIUM METALS CORP          COM NEW       888339207  178    11864   SH        DEFINED    1     11864   0     0
TITANIUM METALS CORP          CALL          888339907  848    56600   SH   CALL DEFINED    1     56600   0     0
TITANIUM METALS CORP          PUT           888339957  458    30600   SH   PUT  DEFINED    1     30600   0     0
TIVO INC                      COM           888706108  338    37717   SH        DEFINED    1     37717   0     0
TIVO INC                      CALL          888706908  690    76900   SH   CALL DEFINED    1     76900   0     0
TIVO INC                      PUT           888706958  949   105800   SH   PUT  DEFINED    1    105800   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
TJX COS INC NEW               COM            872540109  377     5842   SH        DEFINED    1      5842   0     0
TJX COS INC NEW               CALL           872540909 2079    32200   SH   CALL DEFINED    1     32200   0     0
TJX COS INC NEW               PUT            872540959 2627    40700   SH   PUT  DEFINED    1     40700   0     0
TOLL BROTHERS INC             CALL           889478903 1474    72200   SH   CALL DEFINED    1     72200   0     0
TOLL BROTHERS INC             PUT            889478953 1393    68200   SH   PUT  DEFINED    1     68200   0     0
TOREADOR RES CORP             COM            891050106   52    10155   SH        DEFINED    1     10155   0     0
TORM A/S                      SPONSORED ADR  891072100    9    14463   SH        DEFINED    1     14463   0     0
TORONTO DOMINION BK ONT       CALL           891160909  628     8400   SH   CALL DEFINED    1      8400   0     0
TORONTO DOMINION BK ONT       PUT            891160959  224     3000   SH   PUT  DEFINED    1      3000   0     0
TOTAL S A                     SPONSORED ADR  89151E109  517    10112   SH        DEFINED    1     10112   0     0
TOTAL S A                     CALL           89151E909 2167    42400   SH   CALL DEFINED    1     42400   0     0
TOTAL S A                     PUT            89151E959 2883    56400   SH   PUT  DEFINED    1     56400   0     0
TOWERSTREAM CORP              COM            892000100   25    12010   SH        DEFINED    1     12010   0     0
TOYOTA MOTOR CORP             SP ADR REP2COM 892331307  218     3297   SH        DEFINED    1      3297   0     0
TOYOTA MOTOR CORP             CALL           892331907  311     4700   SH   CALL DEFINED    1      4700   0     0
TOYOTA MOTOR CORP             PUT            892331957  225     3400   SH   PUT  DEFINED    1      3400   0     0
TRACTOR SUPPLY CO             COM            892356106 1544    22031   SH        DEFINED    1     22031   0     0
TRACTOR SUPPLY CO             CALL           892356906  933    13300   SH   CALL DEFINED    1     13300   0     0
TRACTOR SUPPLY CO             PUT            892356956  968    13800   SH   PUT  DEFINED    1     13800   0     0
TRANSCANADA CORP              COM            89353D107  219     5006   SH        DEFINED    1      5006   0     0
TRANSOCEAN LTD                REG SHS        H8817H100  865    22519   SH        DEFINED    1     22519   0     0
TRANSOCEAN LTD                CALL           H8817H900 5225   136100   SH   CALL DEFINED    1    136100   0     0
TRANSOCEAN LTD                PUT            H8817H950 3060    79700   SH   PUT  DEFINED    1     79700   0     0
TRAVELCENTERS OF AMERICA LLC  COM            894174101   48    11240   SH        DEFINED    1     11240   0     0
TRAVELERS COMPANIES INC       COM            89417E109  503     8499   SH        DEFINED    1      8499   0     0
TRAVELERS COMPANIES INC       CALL           89417E909 2024    34200   SH   CALL DEFINED    1     34200   0     0
TRAVELERS COMPANIES INC       PUT            89417E959 5597    94600   SH   PUT  DEFINED    1     94600   0     0
TRAVELZOO INC                 COM            89421Q106  657    26771   SH        DEFINED    1     26771   0     0
TRI VY CORP                   COM            895735108    5    33610   SH        DEFINED    1     33610   0     0
TRIANGLE PETE CORP            COM NEW        89600B201   73    12223   SH        DEFINED    1     12223   0     0
TRINA SOLAR LIMITED           SPON ADR       89628E104  184    27611   SH        DEFINED    1     27611   0     0
TRINA SOLAR LIMITED           CALL           89628E904  242    36200   SH   CALL DEFINED    1     36200   0     0
TRINA SOLAR LIMITED           PUT            89628E954  105    15700   SH   PUT  DEFINED    1     15700   0     0
TRINITY INDS INC              CALL           896522909  517    17200   SH   CALL DEFINED    1     17200   0     0
TRINITY INDS INC              PUT            896522959  385    12800   SH   PUT  DEFINED    1     12800   0     0
TRIPADVISOR INC               COM            896945201  212     8410   SH        DEFINED    1      8410   0     0
TRIQUINT SEMICONDUCTOR INC    COM            89674K103  564   115770   SH        DEFINED    1    115770   0     0
TRIQUINT SEMICONDUCTOR INC    CALL           89674K903  219    45000   SH   CALL DEFINED    1     45000   0     0
TRIQUINT SEMICONDUCTOR INC    PUT            89674K953  461    94700   SH   PUT  DEFINED    1     94700   0     0
TRIUMPH GROUP INC NEW         COM            896818101  254     4344   SH        DEFINED    1      4344   0     0
TRUE RELIGION APPAREL INC     CALL           89784N904  290     8400   SH   CALL DEFINED    1      8400   0     0
TRUE RELIGION APPAREL INC     PUT            89784N954  408    11800   SH   PUT  DEFINED    1     11800   0     0
TRW AUTOMOTIVE HLDGS CORP     CALL           87264S906  408    12500   SH   CALL DEFINED    1     12500   0     0
TRW AUTOMOTIVE HLDGS CORP     PUT            87264S956  238     7300   SH   PUT  DEFINED    1      7300   0     0
TSAKOS ENERGY NAVIGATION LTD  SHS            G9108L108   79    16431   SH        DEFINED    1     16431   0     0
TUPPERWARE BRANDS CORP        CALL           899896904  481     8600   SH   CALL DEFINED    1      8600   0     0
TUPPERWARE BRANDS CORP        PUT            899896954  817    14600   SH   PUT  DEFINED    1     14600   0     0
TW TELECOM INC                COM            87311L104  286    14798   SH        DEFINED    1     14798   0     0
TYSON FOODS INC               CL A           902494103  369    17863   SH        DEFINED    1     17863   0     0
TYSON FOODS INC               CALL           902494903 2784   134900   SH   CALL DEFINED    1    134900   0     0
TYSON FOODS INC               PUT            902494953 1141    55300   SH   PUT  DEFINED    1     55300   0     0
U S AIRWAYS GROUP INC         COM            90341W108  434    85601   SH        DEFINED    1     85601   0     0
U S G CORP                    CALL           903293905  469    46200   SH   CALL DEFINED    1     46200   0     0
U S G CORP                    PUT            903293955  277    27300   SH   PUT  DEFINED    1     27300   0     0
UBS AG                        SHS NEW        H89231338  589    49782   SH        DEFINED    1     49782   0     0
UBS AG                        CALL           H89231908  298    25200   SH   CALL DEFINED    1     25200   0     0
UBS AG                        PUT            H89231958  309    26100   SH   PUT  DEFINED    1     26100   0     0
ULTRA PETROLEUM CORP          COM            903914109  302    10186   SH        DEFINED    1     10186   0     0
ULTRA PETROLEUM CORP          CALL           903914909 1416    47800   SH   CALL DEFINED    1     47800   0     0
ULTRA PETROLEUM CORP          PUT            903914959 1793    60500   SH   PUT  DEFINED    1     60500   0     0
UNDER ARMOUR INC              CL A           904311107  272     3787   SH        DEFINED    1      3787   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
UNDER ARMOUR INC              CALL           904311907  4114   57300   SH   CALL DEFINED    1     57300   0     0
UNDER ARMOUR INC              PUT            904311957  4882   68000   SH   PUT  DEFINED    1     68000   0     0
UNILEVER PLC                  SPON ADR NEW   904767704   251    7481   SH        DEFINED    1      7481   0     0
UNION PAC CORP                CALL           907818908  6293   59400   SH   CALL DEFINED    1     59400   0     0
UNION PAC CORP                PUT            907818958 11823  111600   SH   PUT  DEFINED    1    111600   0     0
UNISYS CORP                   CALL           909214906   477   24200   SH   CALL DEFINED    1     24200   0     0
UNISYS CORP                   PUT            909214956   477   24200   SH   PUT  DEFINED    1     24200   0     0
UNITED CONTL HLDGS INC        COM            910047109   361   19146   SH        DEFINED    1     19146   0     0
UNITED CONTL HLDGS INC        CALL           910047909  4204  222800   SH   CALL DEFINED    1    222800   0     0
UNITED CONTL HLDGS INC        PUT            910047959  4791  253900   SH   PUT  DEFINED    1    253900   0     0
UNITED ONLINE INC             COM            911268100   213   39185   SH        DEFINED    1     39185   0     0
UNITED PARCEL SERVICE INC     CALL           911312906 16607  226900   SH   CALL DEFINED    1    226900   0     0
UNITED PARCEL SERVICE INC     PUT            911312956 21115  288500   SH   PUT  DEFINED    1    288500   0     0
UNITED RENTALS INC            CALL           911363909   830   28100   SH   CALL DEFINED    1     28100   0     0
UNITED RENTALS INC            PUT            911363959   461   15600   SH   PUT  DEFINED    1     15600   0     0
UNITED STATES NATL GAS FUND   UNIT NEW       912318110   133   20616   SH        DEFINED    1     20616   0     0
UNITED STATES NATL GAS FUND   CALL           912318900   187   28900   SH   CALL DEFINED    1     28900   0     0
UNITED STATES NATL GAS FUND   PUT            912318950   244   37800   SH   PUT  DEFINED    1     37800   0     0
UNITED STATES OIL FUND LP     CALL           91232N908   808   21200   SH   CALL DEFINED    1     21200   0     0
UNITED STATES OIL FUND LP     PUT            91232N958   514   13500   SH   PUT  DEFINED    1     13500   0     0
UNITED STATES STL CORP NEW    CALL           912909908  5117  193400   SH   CALL DEFINED    1    193400   0     0
UNITED STATES STL CORP NEW    PUT            912909958  3091  116800   SH   PUT  DEFINED    1    116800   0     0
UNITED STS 12 MONTH OIL FD L  UNIT BEN INT   91288V103   413    9492   SH        DEFINED    1      9492   0     0
UNITED TECHNOLOGIES CORP      COM            913017109  2246   30736   SH        DEFINED    1     30736   0     0
UNITED TECHNOLOGIES CORP      CALL           913017909  4831   66100   SH   CALL DEFINED    1     66100   0     0
UNITED TECHNOLOGIES CORP      PUT            913017959  6257   85600   SH   PUT  DEFINED    1     85600   0     0
UNITED THERAPEUTICS CORP DEL  COM            91307C102   201    4248   SH        DEFINED    1      4248   0     0
UNITEDHEALTH GROUP INC        COM            91324P102   652   12867   SH        DEFINED    1     12867   0     0
UNITEDHEALTH GROUP INC        CALL           91324P902  6913  136400   SH   CALL DEFINED    1    136400   0     0
UNITEDHEALTH GROUP INC        PUT            91324P952  8945  176500   SH   PUT  DEFINED    1    176500   0     0
UNIVERSAL DISPLAY CORP        COM            91347P105   275    7493   SH        DEFINED    1      7493   0     0
UNIVERSAL DISPLAY CORP        PUT            91347P955   367   10000   SH   PUT  DEFINED    1     10000   0     0
UNIVERSAL INS HLDGS INC       COM            91359V107    53   14675   SH        DEFINED    1     14675   0     0
UQM TECHNOLOGIES INC          COM            903213106    19   13541   SH        DEFINED    1     13541   0     0
UR ENERGY INC                 COM            91688R108    45   52884   SH        DEFINED    1     52884   0     0
URANIUM RES INC               COM PAR $0.001 916901507    70   97083   SH        DEFINED    1     97083   0     0
URBAN OUTFITTERS INC          CALL           917047902   543   19700   SH   CALL DEFINED    1     19700   0     0
URBAN OUTFITTERS INC          PUT            917047952  1742   63200   SH   PUT  DEFINED    1     63200   0     0
US BANCORP DEL                CALL           902973904  6438  238000   SH   CALL DEFINED    1    238000   0     0
US BANCORP DEL                PUT            902973954  9662  357200   SH   PUT  DEFINED    1    357200   0     0
USA TECHNOLOGIES INC          COM NO PAR     90328S500    18   16503   SH        DEFINED    1     16503   0     0
USEC INC                      COM            90333E108    20   17384   SH        DEFINED    1     17384   0     0
USEC INC                      CALL           90333E908    46   40700   SH   CALL DEFINED    1     40700   0     0
USEC INC                      PUT            90333E958    13   11200   SH   PUT  DEFINED    1     11200   0     0
V F CORP                      COM            918204108   681    5361   SH        DEFINED    1      5361   0     0
V F CORP                      PUT            918204958   406    3200   SH   PUT  DEFINED    1      3200   0     0
VALASSIS COMMUNICATIONS INC   PUT            918866954   262   13600   SH   PUT  DEFINED    1     13600   0     0
VALE S A                      ADR            91912E105   296   13795   SH        DEFINED    1     13795   0     0
VALEANT PHARMACEUTICALS INTL  CALL           91911K902   205    4400   SH   CALL DEFINED    1      4400   0     0
VALENCE TECHNOLOGY INC        COM            918914102    58   59903   SH        DEFINED    1     59903   0     0
VALERO ENERGY CORP NEW        COM            91913Y100   662   31452   SH        DEFINED    1     31452   0     0
VALERO ENERGY CORP NEW        CALL           91913Y900  4694  223000   SH   CALL DEFINED    1    223000   0     0
VALERO ENERGY CORP NEW        PUT            91913Y950  4033  191600   SH   PUT  DEFINED    1    191600   0     0
VALUECLICK INC                COM            92046N102   345   21215   SH        DEFINED    1     21215   0     0
VALUECLICK INC                CALL           92046N902   481   29500   SH   CALL DEFINED    1     29500   0     0
VALUECLICK INC                PUT            92046N952   380   23300   SH   PUT  DEFINED    1     23300   0     0
VALUEVISION MEDIA INC         CL A           92047K107    54   28792   SH        DEFINED    1     28792   0     0
VANGUARD BD INDEX FD INC      TOTAL BND MRKT 921937835   757    9063   SH        DEFINED    1      9063   0     0
VANGUARD INDEX FDS            MCAP GR IDXVIP 922908538   284    4769   SH        DEFINED    1      4769   0     0
VANGUARD INDEX FDS            LARGE CAP ETF  922908637   593   10345   SH        DEFINED    1     10345   0     0
VANGUARD INTL EQUITY INDEX F  GLB EX US ETF  922042676   223    5488   SH        DEFINED    1      5488   0     0






                                 ISSUER                VALUE          FLAG  PUT  INVEST
ISSUER NAME                    DESCRIPTION     CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   -------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                              
VANGUARD INTL EQUITY INDEX F  FTSE SMCAP ETF 922042718   731    9430   SH        DEFINED    1      9430   0     0
VANGUARD SCOTTSDALE FDS       MORTG-BACK SEC 92206C771  3364   64992   SH        DEFINED    1     64992   0     0
VANGUARD SCOTTSDALE FDS       LG-TERM COR BD 92206C813  1316   15177   SH        DEFINED    1     15177   0     0
VANGUARD SCOTTSDALE FDS       LONG-TERM GOV  92206C847  1056   14056   SH        DEFINED    1     14056   0     0
VANGUARD WORLD FDS            TELCOMM ETF    92204A884   481    7738   SH        DEFINED    1      7738   0     0
VARIAN MED SYS INC            CALL           92220P905  1188   17700   SH   CALL DEFINED    1     17700   0     0
VARIAN MED SYS INC            PUT            92220P955  2021   30100   SH   PUT  DEFINED    1     30100   0     0
VENOCO INC                    COM            92275P307   222   32769   SH        DEFINED    1     32769   0     0
VENTAS INC                    CALL           92276F900  1533   27800   SH   CALL DEFINED    1     27800   0     0
VENTAS INC                    PUT            92276F950   673   12200   SH   PUT  DEFINED    1     12200   0     0
VERIFONE HLDGS INC            COM            92342Y109   246    6915   SH        DEFINED    1      6915   0     0
VERIFONE HLDGS INC            CALL           92342Y909  2994   84300   SH   CALL DEFINED    1     84300   0     0
VERIFONE HLDGS INC            PUT            92342Y959  2284   64300   SH   PUT  DEFINED    1     64300   0     0
VERISIGN INC                  COM            92343E102   919   25720   SH        DEFINED    1     25720   0     0
VERISIGN INC                  CALL           92343E902  1361   38100   SH   CALL DEFINED    1     38100   0     0
VERISIGN INC                  PUT            92343E952  1886   52800   SH   PUT  DEFINED    1     52800   0     0
VERISK ANALYTICS INC          CL A           92345Y106   234    5834   SH        DEFINED    1      5834   0     0
VERIZON COMMUNICATIONS INC    COM            92343V104   251    6267   SH        DEFINED    1      6267   0     0
VERIZON COMMUNICATIONS INC    CALL           92343V904 14852  370200   SH   CALL DEFINED    1    370200   0     0
VERIZON COMMUNICATIONS INC    PUT            92343V954 19121  476600   SH   PUT  DEFINED    1    476600   0     0
VERMILLION INC                COM NEW        92407M206    14   11888   SH        DEFINED    1     11888   0     0
VERTEX PHARMACEUTICALS INC    COM            92532F100   612   18443   SH        DEFINED    1     18443   0     0
VERTEX PHARMACEUTICALS INC    CALL           92532F900   462   13900   SH   CALL DEFINED    1     13900   0     0
VERTEX PHARMACEUTICALS INC    PUT            92532F950   867   26100   SH   PUT  DEFINED    1     26100   0     0
VERTRO INC                    COM NEW        92535G204    37   36312   SH        DEFINED    1     36312   0     0
VIACOM INC NEW                CL B           92553P201   718   15817   SH        DEFINED    1     15817   0     0
VIACOM INC NEW                CALL           92553P901   804   17700   SH   CALL DEFINED    1     17700   0     0
VIACOM INC NEW                PUT            92553P951   336    7400   SH   PUT  DEFINED    1      7400   0     0
VIASAT INC                    COM            92552V100   302    6551   SH        DEFINED    1      6551   0     0
VICAL INC                     COM            925602104    81   18486   SH        DEFINED    1     18486   0     0
VIMICRO INTL CORP             ADR            92718N109   108   76928   SH        DEFINED    1     76928   0     0
VIRGIN MEDIA INC              COM            92769L101   800   37402   SH        DEFINED    1     37402   0     0
VIRGIN MEDIA INC              CALL           92769L901   738   34500   SH   CALL DEFINED    1     34500   0     0
VIRGIN MEDIA INC              PUT            92769L951  2044   95600   SH   PUT  DEFINED    1     95600   0     0
VIROPHARMA INC                COM            928241108   400   14593   SH        DEFINED    1     14593   0     0
VIRTUALSCOPICS INC            COM            928269109    19   20694   SH        DEFINED    1     20694   0     0
VISA INC                      COM CL A       92826C839   554    5456   SH        DEFINED    1      5456   0     0
VISA INC                      CALL           92826C909 11808  116300   SH   CALL DEFINED    1    116300   0     0
VISA INC                      PUT            92826C959 16164  159200   SH   PUT  DEFINED    1    159200   0     0
VISHAY INTERTECHNOLOGY INC    CALL           928298908   220   24500   SH   CALL DEFINED    1     24500   0     0
VISHAY INTERTECHNOLOGY INC    PUT            928298958   252   28000   SH   PUT  DEFINED    1     28000   0     0
VISIONCHINA MEDIA INC         SPONS ADR      92833U103    35   28076   SH        DEFINED    1     28076   0     0
VISTAPRINT N V                SHS            N93540107   342   11172   SH        DEFINED    1     11172   0     0
VITESSE SEMICONDUCTOR CORP    COM NEW        928497304   310  126121   SH        DEFINED    1    126121   0     0
VIVUS INC                     COM            928551100   188   19275   SH        DEFINED    1     19275   0     0
VIVUS INC                     CALL           928551900   442   45300   SH   CALL DEFINED    1     45300   0     0
VIVUS INC                     PUT            928551950   106   10900   SH   PUT  DEFINED    1     10900   0     0
VMWARE INC                    CALL           928563902  4975   59800   SH   CALL DEFINED    1     59800   0     0
VMWARE INC                    PUT            928563952  3644   43800   SH   PUT  DEFINED    1     43800   0     0
VODAFONE GROUP PLC NEW        SPONS ADR NEW  92857W209   568   20277   SH        DEFINED    1     20277   0     0
VODAFONE GROUP PLC NEW        CALL           92857W909   639   22800   SH   CALL DEFINED    1     22800   0     0
VODAFONE GROUP PLC NEW        PUT            92857W959   919   32800   SH   PUT  DEFINED    1     32800   0     0
VORNADO RLTY TR               CALL           929042909  1345   17500   SH   CALL DEFINED    1     17500   0     0
VORNADO RLTY TR               PUT            929042959  2475   32200   SH   PUT  DEFINED    1     32200   0     0
VULCAN MATLS CO               CALL           929160909  1857   47200   SH   CALL DEFINED    1     47200   0     0
VULCAN MATLS CO               PUT            929160959  3852   97900   SH   PUT  DEFINED    1     97900   0     0
WACOAL HOLDINGS CORP          ADR            930004205   222    3394   SH        DEFINED    1      3394   0     0
WADDELL & REED FINL INC       CL A           930059100   334   13476   SH        DEFINED    1     13476   0     0
WAL MART STORES INC           CALL           931142903  7356  123100   SH   CALL DEFINED    1    123100   0     0
WAL MART STORES INC           PUT            931142953 13655  228500   SH   PUT  DEFINED    1    228500   0     0
WALGREEN CO                   COM            931422109   307    9275   SH        DEFINED    1      9275   0     0






                                  ISSUER                 VALUE          FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000 POSITION SHARE CALL DESCR   MANAGER  SOLE  SHARED NONE
-----------                   ---------------- --------- ----- -------- ----- ---- ------- ------- ------ ------ ----
                                                                                
WALGREEN CO                   CALL             931422909 10735  324700   SH   CALL DEFINED    1    324700   0     0
WALGREEN CO                   PUT              931422959  9078  274600   SH   PUT  DEFINED    1    274600   0     0
WALTER ENERGY INC             COM              93317Q105   205    3391   SH        DEFINED    1      3391   0     0
WALTER ENERGY INC             CALL             93317Q905  2350   38800   SH   CALL DEFINED    1     38800   0     0
WALTER ENERGY INC             PUT              93317Q955  2610   43100   SH   PUT  DEFINED    1     43100   0     0
WARNER CHILCOTT PLC IRELAND   SHS A            G94368100   673   44478   SH        DEFINED    1     44478   0     0
WARREN RES INC                COM              93564A100    33   10254   SH        DEFINED    1     10254   0     0
WASHINGTON POST CO            CL B             939640108   558    1481   SH        DEFINED    1      1481   0     0
WASTE MGMT INC DEL            CALL             94106L909  6091  186200   SH   CALL DEFINED    1    186200   0     0
WASTE MGMT INC DEL            PUT              94106L959  6503  198800   SH   PUT  DEFINED    1    198800   0     0
WATERS CORP                   CALL             941848903   363    4900   SH   CALL DEFINED    1      4900   0     0
WATERS CORP                   PUT              941848953   489    6600   SH   PUT  DEFINED    1      6600   0     0
WATSON PHARMACEUTICALS INC    COM              942683103   520    8624   SH        DEFINED    1      8624   0     0
WATSON PHARMACEUTICALS INC    CALL             942683903   881   14600   SH   CALL DEFINED    1     14600   0     0
WATSON PHARMACEUTICALS INC    PUT              942683953  2106   34900   SH   PUT  DEFINED    1     34900   0     0
WAVE SYSTEMS CORP             COM NEW          943526301    42   19509   SH        DEFINED    1     19509   0     0
WEATHERFORD INTERNATIONAL LT  CALL             H27013903  7196  491500   SH   CALL DEFINED    1    491500   0     0
WEATHERFORD INTERNATIONAL LT  PUT              H27013953  2514  171700   SH   PUT  DEFINED    1    171700   0     0
WEIGHT WATCHERS INTL INC NEW  COM              948626106   713   12968   SH        DEFINED    1     12968   0     0
WEIGHT WATCHERS INTL INC NEW  CALL             948626906   468    8500   SH   CALL DEFINED    1      8500   0     0
WEIGHT WATCHERS INTL INC NEW  PUT              948626956   809   14700   SH   PUT  DEFINED    1     14700   0     0
WEINGARTEN RLTY INVS          SH BEN INT       948741103   268   12278   SH        DEFINED    1     12278   0     0
WELLCARE HEALTH PLANS INC     COM              94946T106   302    5757   SH        DEFINED    1      5757   0     0
WELLPOINT INC                 COM              94973V107   290    4377   SH        DEFINED    1      4377   0     0
WELLPOINT INC                 CALL             94973V907  2498   37700   SH   CALL DEFINED    1     37700   0     0
WELLPOINT INC                 PUT              94973V957  2332   35200   SH   PUT  DEFINED    1     35200   0     0
WELLS FARGO & CO NEW          COM              949746101   263    9547   SH        DEFINED    1      9547   0     0
WELLS FARGO & CO NEW          *W EXP 10/28/201 949746119   135   15753   SH        DEFINED    1     15753   0     0
WELLS FARGO & CO NEW          CALL             949746901  9503  344800   SH   CALL DEFINED    1    344800   0     0
WELLS FARGO & CO NEW          PUT              949746951 15425  559700   SH   PUT  DEFINED    1    559700   0     0
WELLS FARGO ADV GLB DIV OPP   COM              94987C103   127   16738   SH        DEFINED    1     16738   0     0
WENDYS CO                     COM              95058W100   227   42350   SH        DEFINED    1     42350   0     0
WENDYS CO                     CALL             95058W900   219   40900   SH   CALL DEFINED    1     40900   0     0
WENDYS CO                     PUT              95058W950    65   12100   SH   PUT  DEFINED    1     12100   0     0
WESTELL TECHNOLOGIES INC      CL A             957541105    33   14928   SH        DEFINED    1     14928   0     0
WESTERN ASSET HGH YLD DFNDFD  COM              95768B107   314   18983   SH        DEFINED    1     18983   0     0
WESTERN ASSETT MGD HI INCM F  COM              95766L107    82   13648   SH        DEFINED    1     13648   0     0
WESTERN COPPER & GOLD CORP    COM              95805V108    20   12826   SH        DEFINED    1     12826   0     0
WESTERN DIGITAL CORP          COM              958102105   269    8677   SH        DEFINED    1      8677   0     0
WESTERN LIBERTY BANCORP       COM              961443108    35   13133   SH        DEFINED    1     13133   0     0
WESTERN REFNG INC             CALL             959319904   704   53000   SH   CALL DEFINED    1     53000   0     0
WESTERN REFNG INC             PUT              959319954   740   55700   SH   PUT  DEFINED    1     55700   0     0
WESTERN UN CO                 CALL             959802909  1013   55500   SH   CALL DEFINED    1     55500   0     0
WESTERN UN CO                 PUT              959802959  1335   73100   SH   PUT  DEFINED    1     73100   0     0
WESTPAC BKG CORP              SPONSORED ADR    961214301   413    4035   SH        DEFINED    1      4035   0     0
WEYERHAEUSER CO               CALL             962166904   808   43300   SH   CALL DEFINED    1     43300   0     0
WEYERHAEUSER CO               PUT              962166954   960   51400   SH   PUT  DEFINED    1     51400   0     0
WHIRLPOOL CORP                CALL             963320906  1988   41900   SH   CALL DEFINED    1     41900   0     0
WHIRLPOOL CORP                PUT              963320956  1480   31200   SH   PUT  DEFINED    1     31200   0     0
WHITING PETE CORP NEW         CALL             966387902  3007   64400   SH   CALL DEFINED    1     64400   0     0
WHITING PETE CORP NEW         PUT              966387952  2671   57200   SH   PUT  DEFINED    1     57200   0     0
WHOLE FOODS MKT INC           COM              966837106   280    4021   SH        DEFINED    1      4021   0     0
WHOLE FOODS MKT INC           CALL             966837906  4050   58200   SH   CALL DEFINED    1     58200   0     0
WHOLE FOODS MKT INC           PUT              966837956  3848   55300   SH   PUT  DEFINED    1     55300   0     0
WIDEPOINT CORP                COM              967590100     8   11772   SH        DEFINED    1     11772   0     0
WILLIAMS COS INC DEL          CALL             969457900  8054  243900   SH   CALL DEFINED    1    243900   0     0
WILLIAMS COS INC DEL          PUT              969457950  7717  233700   SH   PUT  DEFINED    1    233700   0     0
WILLIAMS PARTNERS L P         COM UNIT L P     96950F104   697   11612   SH        DEFINED    1     11612   0     0
WILLIAMS PARTNERS L P         CALL             96950F904   696   11600   SH   CALL DEFINED    1     11600   0     0
WILLIAMS SONOMA INC           CALL             969904901   601   15600   SH   CALL DEFINED    1     15600   0     0
WILLIAMS SONOMA INC           PUT              969904951   712   18500   SH   PUT  DEFINED    1     18500   0     0






                                  ISSUER                 VALUE           FLAG  PUT  INVEST
ISSUER NAME                     DESCRIPTION      CUSIP   X1000  POSITION SHARE CALL DESCR   MANAGER  SOLE   SHARED NONE
-----------                   ---------------- --------- ------ -------- ----- ---- ------- ------- ------- ------ -----
                                                                                  
WINDSTREAM CORP               COM              97381W104    410   34997   SH        DEFINED    1      34997   0        0
WINDSTREAM CORP               CALL             97381W904    228   19400   SH   CALL DEFINED    1      19400   0        0
WINN DIXIE STORES INC         COM NEW          974280307    248   26463   SH        DEFINED    1      26463   0        0
WISCONSIN ENERGY CORP         COM              976657106    264    7563   SH        DEFINED    1       7563   0        0
WISDOMTREE TR                 MID EAST DIVD    97717X305    684   46724   SH        DEFINED    1      46724   0        0
WISDOMTREE TR                 EM LCL DEBT FD   97717X867    506   10408   SH        DEFINED    1      10408   0        0
WISDOMTREE TRUST              DRYFS CURR ETF   97717W133    238   12074   SH        DEFINED    1      12074   0        0
WISDOMTREE TRUST              CHINESE YUAN ETF 97717W182    508   20184   SH        DEFINED    1      20184   0        0
WIZZARD SOFTWARE CORP NEW     COM              97750V109     50  383656   SH        DEFINED    1     383656   0        0
WOODWARD GOVERNOR CO          COM              980745103    275    6731   SH        DEFINED    1       6731   0        0
WORLD FUEL SVCS CORP          COM              981475106    333    7931   SH        DEFINED    1       7931   0        0
WOWJOINT HOLDINGS LIMITED     *W EXP 05/15/201 G9796W119      2  148577   SH        DEFINED    1     148577   0        0
WYNDHAM WORLDWIDE CORP        CALL             98310W908   2137   56500   SH   CALL DEFINED    1      56500   0        0
WYNDHAM WORLDWIDE CORP        PUT              98310W958   2989   79000   SH   PUT  DEFINED    1      79000   0        0
WYNN RESORTS LTD              COM              983134107   1665   15068   SH        DEFINED    1      15068   0        0
WYNN RESORTS LTD              CALL             983134907   9999   90500   SH   CALL DEFINED    1      90500   0        0
WYNN RESORTS LTD              PUT              983134957  13193  119400   SH   PUT  DEFINED    1     119400   0        0
XEROX CORP                    COM              984121103    209   26313   SH        DEFINED    1      26313   0        0
XEROX CORP                    CALL             984121903    606   76100   SH   CALL DEFINED    1      76100   0        0
XEROX CORP                    PUT              984121953    621   78000   SH   PUT  DEFINED    1      78000   0        0
XILINX INC                    COM              983919101    414   12923   SH        DEFINED    1      12923   0        0
XILINX INC                    CALL             983919901    859   26800   SH   CALL DEFINED    1      26800   0        0
XILINX INC                    PUT              983919951   1975   61600   SH   PUT  DEFINED    1      61600   0        0
XL GROUP PLC                  CALL             G98290902    312   15800   SH   CALL DEFINED    1      15800   0        0
XL GROUP PLC                  PUT              G98290952    682   34500   SH   PUT  DEFINED    1      34500   0        0
XOMA LTD                      SHS NEW          G9825R206     42   37091   SH        DEFINED    1      37091   0        0
XYRATEX LTD                   COM              G98268108    143   10736   SH        DEFINED    1      10736   0        0
YAHOO INC                     COM              984332106    598   37066   SH        DEFINED    1      37066   0        0
YAHOO INC                     CALL             984332906  10396  644500   SH   CALL DEFINED    1     644500   0        0
YAHOO INC                     PUT              984332956   7728  479100   SH   PUT  DEFINED    1     479100   0        0
YAMANA GOLD INC               CALL             98462Y900    638   43400   SH   CALL DEFINED    1      43400   0        0
YINGLI GREEN ENERGY HLDG CO   ADR              98584B103     60   15719   SH        DEFINED    1      15719   0        0
YONGYE INTL INC               COM              98607B106     48   13734   SH        DEFINED    1      13734   0        0
YOUKU COM INC                 SPONSORED ADR    98742U100    187   11946   SH        DEFINED    1      11946   0        0
YRC WORLDWIDE INC             COM PAR $.01     984249607    123   12364   SH        DEFINED    1      12364   0        0
YUM BRANDS INC                CALL             988498901   3511   59500   SH   CALL DEFINED    1      59500   0        0
YUM BRANDS INC                PUT              988498951   3104   52600   SH   PUT  DEFINED    1      52600   0        0
ZAGG INCORPORATED             COM              98884U108    143   20297   SH        DEFINED    1      20297   0        0
ZHONE TECHNOLOGIES INC        NEW COMNEW       98950P884     14   16846   SH        DEFINED    1      16846   0        0
ZIMMER HLDGS INC              CALL             98956P902   5134   96100   SH   CALL DEFINED    1      96100   0        0
ZIMMER HLDGS INC              PUT              98956P952   1854   34700   SH   PUT  DEFINED    1      34700   0        0
ZIONS BANCORPORATION          CALL             989701907   1405   86300   SH   CALL DEFINED    1      86300   0        0
ZIONS BANCORPORATION          PUT              989701957    772   47400   SH   PUT  DEFINED    1      47400   0        0
ZOGENIX INC                   COM              98978L105     35   15714   SH        DEFINED    1      15714   0        0
ZWEIG TOTAL RETURN FD INC     COM              989837109    104   34222   SH        DEFINED    1      34222   0        0
CONSUMER DISCRETIONARY SELT   COM              81369Y407  28271  724515   SH        DEFINED    2     716532   0     7983
CONSUMER STAPLES SPDR         COM              81369Y308    350   10783   SH        DEFINED    2      10783   0
GUGGENHEIM ENHANCED ULTRA-
 SHOR                         COM              18383M654    539   10859   SH        DEFINED    2      10859   0
ISHARES BARCLAYS 1-3 YEAR TR  COM              464287457  86827 1027541   SH        DEFINED    2    1016484   0    11056
ISHARES BARCLAYS 7-10 YEAR    COM              464287440  58591  555000   SH        DEFINED    2     549073   0     5927
ISHARES BARCLAYS AGGREGATE    COM              464287226 231378 2098664   SH        DEFINED    2    2075933   0    22731
ISHARES DJ US CNSMER SERVICE  COM              464287580    699    9794   SH        DEFINED    2       9794   0
ISHARES DJ US CONSMR GOODS    COM              464287812    352    5138   SH        DEFINED    2       5138   0
ISHARES DJ US PHARMA INDEX F  COM              464288836   2381   31149   SH        DEFINED    2      31149   0
ISHARES DJ US REAL ESTATE     COM              464287739    709   12472   SH        DEFINED    2      12472   0
ISHARES DJ US TELECOMMUNICAT  COM              464287713    691   32928   SH        DEFINED    2      32928   0
ISHARES IBOXX H/Y CORP BOND   COM              464288513  28562  319373   SH        DEFINED    2     315757   0     3616
ISHARES IBOXX INV GR CORP BD  COM              464287242  85068  747786   SH        DEFINED    2     739495   0     8291
ISHARES NASDAQ BIOTECH INDX   COM              464287556    706    6768   SH        DEFINED    2       6768   0
ISHARES S&P GLBL HEALTHCARE   COM              464287325    710   12651   SH        DEFINED    2      12651   0






                                ISSUER              VALUE           FLAG  PUT  INVEST
ISSUER NAME                   DESCRIPTION   CUSIP   X1000  POSITION SHARE CALL DESCR   MANAGER  SOLE   SHARED NONE
-----------                   ----------- --------- ------ -------- ----- ---- ------- ------- ------- ------ -----
                                                                             
PHARMACEUTICAL HOLDRS TRUST       COM     71712A206    716    9852   SH        DEFINED    2       9852   0
POWERSHARES DB COMMODITY IND      COM     73935S105  60201 2242959   SH        DEFINED    2    2217576   0    25383
POWERSHARES DB PREC METALS F      COM     73936B200  21104  391686   SH        DEFINED    2     387245   0     4441
POWERSHARES DB US DOL IND BU      COM     73936D107  55725 2479969   SH        DEFINED    2    2451845   0    28124
POWERSHARES FIN PFD PORTFOLI      COM     73935X229    697   43241   SH        DEFINED    2      43241   0
PROSHARES SHORT QQQ               COM     74347R602  54235 1733312   SH        DEFINED    2    1713846   0    19466
PROSHARES SHORT S&P500            COM     74347R503 157606 3900165   SH        DEFINED    2    3856239   0    43926
SPDR DJ INTERNATIONAL REAL E      COM     78463X863    680   21370   SH        DEFINED    2      21370   0
SPDR GOLD TRUST                   COM     78463V107    619    4075   SH        DEFINED    2       4075   0
SPDR S&P DIVIDEND ETF             COM     78464A763  59135 1097743   SH        DEFINED    2    1085601   0    12143
SPDR S&P HOMEBUILDERS ETF         COM     78464A888    174   10162   SH        DEFINED    2      10162   0
SPDR S&P PHARMACEUTICALS ETF      COM     78464A722  59644 1161971   SH        DEFINED    2    1148879   0    13093
UTILITIES SELECT SECTOR SPDR      COM     81369Y886    702   19499   SH        DEFINED    2      19499   0
WISDOMTREE DEFA FUND              COM     97717W703    224    5483   SH        DEFINED    2       5297   0      186
WISDOMTREE EARNINGS 500 FUND      COM     97717W588    284    6444   SH        DEFINED    2       6262   0      182
WISDOMTREE MIDCAP EARNINGS        COM     97717W570    270    5013   SH        DEFINED    2       4866   0      147
WISDOMTREE SMALLCAP EARNINGS      COM     97717W562    266    5294   SH        DEFINED    2       5135   0