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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for Calendar Year or Quarter Ended: JUNE 30, 2011

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

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

Institutional Investment Manager filing this report:

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

Form 13F File Number: 28-00399

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

Person signing this report on behalf of the reporting manager:

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

Signature, Place, and Date of Signing:

 /s/ James J. Malerba        Boston, Massachusetts            August 9, 2011
----------------------   ------------------------------   ----------------------
     [Signature]                 [City, State]                    [Date]

Report Type (Check only one):

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

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

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






                              FORM 13F SUMMARY PAGE

REPORT SUMMARY:

Number of Other Included Managers:        12

Form 13F Information Table Entry Total:   3,670

Form 13F Information Table Value Total:   606,878,413 (thousands)

List of Other Included Managers:

Provide a numbered list of the names(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report. [If there are no entries in this
list, state "NONE" and omit the column headings and list entries.]

      FORM 13F FILE
NO.   NUMBER         NAME
----  -------------  -----------------------------------------------
1     28-00733       State Street Bank and Trust Company
2     28-11338       SSgA Funds Management, Inc.
3     28-11339       Tuckerman Group, LLC
4     28-11328       Rexiter Capital Management LTD
5     28-11326       State Street Global Advisors LTD
6     28-11327       State Street Global Advisors Ltd.
8     28-11330       State Street Global Advisors, Australia
10    28-11332       State Street Global Advisors (Japan) Co., Ltd.
12    28-11331       State Street Global Advisors Asia LTD
13    28-11334       State Street Global Advisors GmbH
18    28-13812       State Street Global Advisors France, S.A.
19    28-14459       Bank of Ireland Asset Management Ltd




FORM 13F INFORMATION TABLE AS OF 6/30/2011



                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ADOBE SYSTEMS INC Common equity   00724F101  584726  18592447 SH         DEFINED    1,2,5,6,8,10,12,18        18592447
                  shares
AGILENT           Common equity   00846U101  642907  12578768 SH         DEFINED    1,2,5,6,8,10,12,17,18     12578768
 TECHNOLOGIES     shares
 INC
ANALOG DEVICES    Common equity   032654105  445558  11383776 SH         DEFINED    1,2,5,6,8,10,12,17,18     11379586          4190
                  shares
AON CORP          Common equity   037389103  798070  15556806 SH         DEFINED    1,2,5,6,8,10,12,17,18     15556806
                  shares
APOLLO GROUP      Common equity   037604105  257541   5896071 SH         DEFINED    1,2,5,6,8,10,12,18         5896071
 INC  -CL A       shares
BB&T CORP         Common equity   054937107  750529  27963340 SH         DEFINED    1,2,5,6,8,10,12,18        27963340
                  shares
CARDINAL          Common equity   14149Y108  694333  15286833 SH         DEFINED    1,2,5,6,8,10,12,17,18     15286833
 HEALTH INC       shares
CARMAX INC        Common equity   143130102  265534   8029270 SH         DEFINED    1,2,5,6,8,10,12,18         8029270
                  shares
CATERPILLAR INC   Common equity   149123101 7772968  73013036 SH         DEFINED    1,2,5,6,8,10,12,18        29274031      43739005
                  shares
CHUBB CORP        Common equity   171232101  806757  12885384 SH         DEFINED    1,2,5,6,8,10,12,17,18     12885384
                  shares
CIENA CORP        Common equity   171779309   43729   2379219 SH         DEFINED    1,2,5,6,8,12               2379219
                  shares
COMPUWARE CORP    Common equity   205638109   71446   7319703 SH         DEFINED    1,2,5,6,8,10,12            7319703
                  shares
CONAGRA FOODS INC Common equity   205887102  570841  22117169 SH         DEFINED    1,2,5,6,8,10,12,18        22117169
                  shares
DANAHER CORP      Common equity   235851102 1042941  19681940 SH         DEFINED    1,2,5,6,8,10,12,18        19681940
                  shares
DARDEN            Common equity   237194105  267873   5383243 SH         DEFINED    1,2,5,6,8,10,12,18         5383243
 RESTAURANTS      shares
 INC
DEAN FOODS CO     Common equity   242370104   78439   6392535 SH         DEFINED    1,2,5,6,8,10,12,18         6392535
                  shares
DELL INC          Common equity   24702R101 1093434  65593017 SH         DEFINED    1,2,5,6,8,10,12,17,18     65593017
                  shares
DONNELLEY (RR)    Common Stock    257867101  167632   8547936 SH         DEFINED    1,2,5,6,8,10,12,18         8547936
  & SONS CO
EATON CORP        Common equity   278058102  635930  12360105 SH         DEFINED    1,2,5,6,8,10,12,17,18     12360105
                  shares
DISH NETWORK      Common equity   25470M109  171124   5579755 SH         DEFINED    1,2,5,6,8,10,12,17,18      5579755
 CORP             shares
ECOLAB INC        Common equity   278865100  545940   9971101 SH         DEFINED    1,2,5,6,8,10,12,18,19      9422070
                  shares
FIRSTENERGY       Common equity   337932107 1289187  29637610 SH         DEFINED    1,2,5,6,8,10,12,18,19     28802873
 CORP             shares
FOOT LOCKER INC   Common equity   344849104  105366   4434270 SH         DEFINED    1,2,5,6,8,12               4434270
                  shares
FORD MOTOR CO     Common equity   345370860 1822431 132155880 SH         DEFINED    1,2,5,6,8,10,12,18       132155880
                  shares
INTEL CORP        Common equity   458140100 4760097 215765156 SH         DEFINED    1,2,5,6,8,10,12,17,18,19 213935754
                  shares
LIFE              Common equity   53217V109  349330   6708859 SH         DEFINED    1,2,5,6,8,10,12,18         6708859
 TECHNOLOGIES     shares
 CORP
KELLOGG CO        Common equity   487836108  522865   9451669 SH         DEFINED    1,2,5,6,8,10,12,17,18      9451669
                  shares
KROGER CO         Common equity   501044101  611564  24659949 SH         DEFINED    1,2,5,6,8,10,12,17,18     24659949
                  shares
LEGG MASON INC    Common equity   524901105  192502   5876298 SH         DEFINED    1,2,5,6,8,10,12,18         5876298
                  shares
LINEAR TECHNOLOGY Common equity   535678106  284529   8616690 SH         DEFINED    1,2,5,6,8,10,12,18         8616690
 CORP             shares

LOWE`S COMPANIES  Common equity   548661107 1244484  54981790 SH         DEFINED    1,2,5,6,8,10,12,18,19     51941368
 INC              shares
MANPOWERGROUP     Common equity   56418H100  136416   2542872 SH         DEFINED    1,2,5,6,8,10,12,18         2542872
                  shares
MARATHON OIL CORP Common equity   565849106 1584746  30082622 SH         DEFINED    1,2,5,6,8,10,12,17,18     30082622
                  shares
MARSHALL & ILSLEY Common equity   571837103  165725  20792791 SH         DEFINED    1,2,5,6,8,10,12,18        20792791
 CORP             shares
MARVELL           Common equity   G5876H105  136297   9231220 SH         DEFINED    1,2,5,6,8,10,12,18         9231220
 TECHNOLOGY       shares
 GROUP LTD
MAXIM INTEGRATED  Common Stock    57772K101  140401   5493054 SH         DEFINED    1,2,5,6,8,10,12,18         5493054
 PRODUCTS
MCDONALD'S CORP   Common equity   580135101 3720059  44118360 SH         DEFINED    1,2,5,6,8,10,12,17,18     44118360
                  shares
MEDCO HEALTH      Common equity   58405U102  853670  15103934 SH         DEFINED    1,2,5,6,8,10,12,18        15103934
 SOLUTIONS INC    shares
MEDTRONIC INC     Common equity   585055106 1512501  39255191 SH         DEFINED    1,2,5,6,8,10,12,18        39255191
                  shares
MICROCHIP         Common equity   595017104  263992   6963613 SH         DEFINED    1,2,5,6,8,10,12,17,18      6963613
 TECHNOLOGY INC   shares
MONSANTO CO       Common equity   61166W101 1525895  21035121 SH         DEFINED    1,2,5,6,8,10,12,18        21035121
                  shares
MOTOROLA          Common equity   620076307  567658  12329774 SH         DEFINED    1,2,5,6,8,10,12,17,18     12329774
 SOLUTIONS INC    shares
NATIONAL          Common equity   637640103  317219  12889802 SH         DEFINED    1,2,5,6,8,10,12,18        12889802
 SEMICONDUCTOR    shares
 CORP
NEW YORK CMNTY    Common equity   649445103  248800  16598634 SH         DEFINED    1,2,5,6,8,10,12,18        16598634
 BANCORP INC      shares
NEW YORK TIMES    Common equity   650111107   39466   4525724 SH         DEFINED    1,2,5,6,8,12               4525724
 CO -CL A         shares
NORTHROP          Common equity   666807102 2222115  32381827 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  31733261
 GRUMMAN CORP     shares
NVIDIA CORP       Common equity   67066G104  341987  21461463 SH         DEFINED    1,2,5,6,8,10,12,18        21461463
                  shares
OLD REPUBLIC      Common equity   680223104   86528   7363979 SH         DEFINED    1,2,5,6,8,10,12,18         7363979
 INTL CORP        shares
OMNICARE INC      Common equity   681904108  106915   3352359 SH         DEFINED    1,2,5,6,8,10,12,18         3352359
                  shares
PATTERSON         Common equity   703395103  118726   3609823 SH         DEFINED    1,2,5,6,8,10,12,18         3609823
 COMPANIES INC    shares
PEPCO HOLDINGS    Common equity   713291102  213635  10882882 SH         DEFINED    1,2,5,6,8,10,12,17,18     10882882
 INC              shares
PETSMART INC      Common equity   716768106  168050   3703965 SH         DEFINED    1,2,5,6,8,10,12,18         3703965
                  shares
PIONEER           Common equity   723787107  495269   5529336 SH         DEFINED    1,2,5,6,8,10,12,17,18      5527346          1990
 NATURAL          shares
 RESOURCES CO
PMI GROUP INC     Common equity   69344M101    3170   2965040 SH         DEFINED    1,2,5,6,8                  2965040
                  shares
RADIAN GROUP      Common equity   750236101   11724   2772212 SH         DEFINED    1,2,5,6,8                  2772212
 INC              shares
RENAISSANCERE     Common equity   G7496G103   73797   1054873 SH         DEFINED    1,2,5,6,8,10,12,17,18      1054873
 HOLDINGS LTD     shares
REPUBLIC          Common equity   760759100  354208  11481716 SH         DEFINED    1,2,5,6,8,10,12,17,18     11481716
 SERVICES INC     shares
ROSS STORES INC   Common equity   778296103  350714   4377592 SH         DEFINED    1,2,5,6,8,10,12,18         4377592
                  shares
SANDISK CORP      Common equity   80004C101  354199   8534680 SH         DEFINED    1,2,5,6,8,10,12,18         8534680
                  shares
SCANA CORP        Common equity   80589M102  207534   5271049 SH         DEFINED    1,2,5,6,8,10,12,18         5271049
                  shares
SPX CORP          Common equity   784635104  124205   1502546 SH         DEFINED    1,2,5,6,8,10,12,18         1502546
                  shares
SYNOPSYS INC      Common equity   871607107  110254   4287908 SH         DEFINED    1,2,5,6,8,10,12,18         4287908
                  shares
TCF FINANCIAL     Common equity   872275102   62000   4492554 SH         DEFINED    1,2,5,6,8,12               4492554
 CORP             shares
TELEPHONE &       Common equity   879433100   71947   2314912 SH         DEFINED    1,2,5,6,8,10,12,17,18      2314912
 DATA SYSTEMS     shares
 INC
3M CO             Common equity   88579Y101 4962675  52321372 SH         DEFINED    1,2,5,6,8,10,12,17,18     51770957        550415
                  shares
ABBOTT            Common equity   002824100 3099682  58906947 SH         DEFINED    1,2,5,6,8,10,12,17,18     58906947
 LABORATORIES     shares
ACCENTURE PLC     Common equity   G1151C101  656167  11105020 SH         DEFINED    1,2,5,6,8,10,12,18,19     10637668
                  shares
AES CORP          Common equity   00130H105  405553  31833136 SH         DEFINED    1,2,5,6,8,10,12,17,18     31833136
                  shares
AMERICAN          Common equity   026874784  478248  16311504 SH         DEFINED    1,2,5,6,8,10,12,18        16311504
 INTERNATIONAL    shares
 GROUP
ANADARKO          Common equity   032511107 1550026  20193104 SH         DEFINED    1,2,5,6,8,10,12,18        20193104
 PETROLEUM CORP   shares
ARCHER-DANIELS-MI Common equity   039483102  858427  28471907 SH         DEFINED    1,2,5,6,8,10,12,18        28471907
 CO               shares
AUTOZONE INC      Common equity   053332102  296825   1006753 SH         DEFINED    1,2,5,6,8,10,12,17,18      1006753
                  shares
BALL CORP         Common equity   058498106  275177   7155018 SH         DEFINED    1,2,5,6,8,10,12,18         7155018
                  shares
BANK OF           Common equity   060505104 5015648 460496575 SH         DEFINED    1,2,5,6,8,10,12,18,19    455031340
 AMERICA CORP     shares
BANK OF NEW       Common equity   064058100 1226176  47860016 SH         DEFINED    1,2,5,6,8,10,12,18        47860016
 YORK MELLON      shares
 CORP
BED BATH &        Common equity   075896100  572537   9808767 SH         DEFINED    1,2,5,6,8,10,12,18         9808767
 BEYOND INC       shares
BOEING CO         Common equity   097023105 2341160  31667208 SH         DEFINED    1,2,5,6,8,10,12,18        31667208
                  shares
BOSTON            Real Estate     101121101  740771   6977877 SH         DEFINED    1,2,3,5,6,8,10,12,18       6977877
 PROPERTIES INC   Investment
                  Trust
CABLEVISION SYS   Common equity   12686C109  309920   8559008 SH         DEFINED    1,2,5,6,8,10,12,18         8559008
 CORP  -CL A      shares
CAREER            Common equity   141665109   35578   1682109 SH         DEFINED    1,2,5,6,8,12               1682109
 EDUCATION CORP   shares
CINCINNATI        Common equity   172062101  364456  12489981 SH         DEFINED    1,2,5,6,8,10,12,18        12489981
 FINANCIAL CORP   shares
CITIGROUP INC     Common equity   172967424 4958190 119072852 SH         DEFINED    1,2,5,6,8,10,12,18       119072852
                  shares
CLOROX CO/DE      Common equity   189054109  483155   7164180 SH         DEFINED    1,2,5,6,8,10,12,18         7164180
                  shares
COACH INC         Common equity   189754104  680502  10644400 SH         DEFINED    1,2,5,6,8,10,12,18        10644400
                  shares
COMPUTER          Common equity   205363104  229676   6249289 SH         DEFINED    1,2,5,6,8,10,12,18,19      5869498
 SCIENCES CORP    shares
CONVERGYS CORP    Common equity   212485106   53511   3922722 SH         DEFINED    1,2,5,6,8,12               3922722
                  shares
DISNEY (WALT) CO  Common equity   254687106 2874036  73617758 SH         DEFINED    1,2,5,6,8,10,12,18        73617758
                  shares
DST SYSTEMS INC   Common equity   233326107   51333    972190 SH         DEFINED    1,2,5,6,8,10,12             972190
                  shares
DTE ENERGY CO     Common equity   233331107  406298   8122876 SH         DEFINED    1,2,5,6,8,10,12,17,18      8122876
                  shares
DUN &  BRADSTREET Common equity   26483E100  139736   1849688 SH         DEFINED    1,2,5,6,8,10,12,17,18      1849688
 CORP             shares
EVEREST RE        Common equity   G3223R108  138831   1698161 SH         DEFINED    1,2,5,6,8,10,12,17,18      1698161
 GROUP LTD        shares
EXPRESS           Common equity   302182100 1026090  19008776 SH         DEFINED    1,2,5,6,8,10,12,17,18     19006076          2700
 SCRIPTS INC      shares
FIRST HORIZON     Common equity   320517105   94243   9878598 SH         DEFINED    1,2,5,6,8,10,12            9878598
 NATIONAL CORP    shares
FLEXTRONICS       Common equity   Y2573F102   54561   8498766 SH         DEFINED    1,2,5,6,8,10,12,18         8498766
 INTERNATIONAL    shares
FLUOR CORP        Common equity   343412102  416660   6443958 SH         DEFINED    1,2,5,6,8,10,12,18         6443958
                  shares
FORTUNE BRANDS    Common equity   349631101  335009   5253304 SH         DEFINED    1,2,5,6,8,10,12,18         5253304
 INC              shares
GENUINE PARTS     Common equity   372460105  437340   8039319 SH         DEFINED    1,2,5,6,8,10,12,18         8039319
 CO               shares
GOLDMAN SACHS     Common equity   38141G104 2672118  20077490 SH         DEFINED    1,2,5,6,8,10,12,18        20077490
 GROUP INC        shares
HARTFORD          Common equity   416515104  674485  26351533 SH         DEFINED    1,2,5,6,8,10,12,18,19     24875535
 FINANCIAL        shares
 SERVICES
HEALTH            Common equity   421933102   71796   6660180 SH         DEFINED    1,2,5,6,8,12               6660180
 MANAGEMENT       shares
 ASSOC
HERSHEY CO        Common equity   427866108  340896   5996472 SH         DEFINED    1,2,5,6,8,10,12,18         5996472
                  shares
HOME DEPOT INC    Common equity   437076102 2307392  63705026 SH         DEFINED    1,2,5,6,8,10,12,18        63705026
                  shares
HOST HOTELS &     Real Estate     44107P104  567045  33453969 SH         DEFINED    1,2,3,5,6,8,10,12,18      33453969
 RESORTS INC      Investment
                  Trust
ILLINOIS TOOL     Common equity   452308109  972164  17209493 SH         DEFINED    1,2,5,6,8,10,12,18        17209493
 WORKS            shares
INTL FLAVORS &    Common equity   459506101  217988   3583612 SH         DEFINED    1,2,5,6,8,10,12,18,19      3220371
 FRAGRANCES       shares
INTUIT INC        Common equity   461202103  557789  10755668 SH         DEFINED    1,2,5,6,8,10,12,17,18     10755668
                  shares
ISTAR             Real Estate     45031U101   16077   1982005 SH         DEFINED    1,2,5,6,8                  1982005
 FINANCIAL INC    Investment
                  Trust
JABIL CIRCUIT     Common equity   466313103  139418   6902324 SH         DEFINED    1,2,5,6,8,10,12            6902324
 INC              shares
JOHNSON           Common equity   478366107  985388  23653393 SH         DEFINED    1,2,5,6,8,10,12,18        23653393
 CONTROLS INC     shares
JONES GROUP INC   Common equity   48020T101   23463   2162680 SH         DEFINED    1,2,5,6,8                  2162680
                  shares
JPMORGAN CHASE    Common equity   46625H100 6577756 162090144 SH         DEFINED    1,2,5,6,8,10,12,17,18,19 159374157          3370
 & CO             shares
LABORATORY CP     Common equity   50540R409  357618   3694847 SH         DEFINED    1,2,5,6,8,10,12,18         3694847
 OF AMER HLDGS    shares
LAUDER (ESTEE)    Common equity   518439104  452956   4306125 SH         DEFINED    1,2,5,6,8,10,12,18         4306125
 COS INC -CL A    shares
LILLY (ELI) &     Common equity   532457108 1468400  39168189 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  39087884
 CO               shares
LIMITED BRANDS    Common equity   532716107  388472  10103558 SH         DEFINED    1,2,5,6,8,10,12,18        10103558
 INC              shares
MCCORMICK & CO    Common equity   579780206  337078   6800076 SH         DEFINED    1,2,5,6,8,10,12,17,18      6800076
 INC              shares
MOODY`S CORP      Common equity   615369105  289200   7540966 SH         DEFINED    1,2,5,6,8,10,12,17,18      7540966
                  shares
AFLAC INC         Common equity   001055102  920147  19711749 SH         DEFINED    1,2,5,6,8,10,12,18        19711749
                  shares
AIR PRODUCTS &    Common equity   009158106  921183   9637887 SH         DEFINED    1,2,5,6,8,10,12,18         9637887
 CHEMICALS INC    shares
AMERICAN          Common equity   025816109 2325023  44971571 SH         DEFINED    1,2,5,6,8,10,12,18        44971571
 EXPRESS CO       shares
AMERISOURCEBERGEN Common equity   03073E105  435739  10524834 SH         DEFINED    1,2,5,6,8,10,12,17,18     10524834
 CORP             shares
AMGEN INC         Common equity   031162100 2133658  37081639 SH         DEFINED    1,2,5,6,8,10,12,18,19     36098976
                  shares
APACHE CORP       Common equity   037411105 1889660  15314496 SH         DEFINED    1,2,5,6,8,10,12,18        15314496
                  shares
APARTMENT         Real Estate     03748R101  132342   5184131 SH         DEFINED    1,2,3,5,6,8,10,12          5184131
 INVST & MGMT     Investment
 CO               Trust
AVERY DENNISON    Common equity   053611109  161985   4193260 SH         DEFINED    1,2,5,6,8,10,12,17,18      4189290          3970
 CORP             shares
AVON PRODUCTS     Common equity   054303102  470143  17963872 SH         DEFINED    1,2,5,6,8,10,12,18,19     15725531
                  shares
BIOGEN IDEC INC   Common equity   09062X103 1010808   9453904 SH         DEFINED    1,2,5,6,8,10,12,17,18      9453904
                  shares
BLOCK H & R INC   Common equity   093671105  182905  11403423 SH         DEFINED    1,2,5,6,8,10,12,18        11403423
                  shares
BMC SOFTWARE      Common Stock    055921100  380475   6955574 SH         DEFINED    1,2,5,6,8,10,12,17,18      6955574
 INC
BRINKER INTL      Common equity   109641100   56101   2293516 SH         DEFINED    1,2,5,6,8,12,17,18         2293516
 INC              shares
AVIS BUDGET       Common Stock    053774105   42879   2508951 SH         DEFINED    1,2,5,6,8,12,17            2508951
 GROUP INC
CA INC            Common equity   12673P105  365039  16787523 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  15251685
                  shares
CAMERON           Common equity   13342B105  531016  10559268 SH         DEFINED    1,2,5,6,8,10,12,18        10559268
 INTERNATIONAL    shares
 CORP
CSX CORP          Common equity   126408103 1085956  41416879 SH         DEFINED    1,2,5,6,8,10,12,17,18     41416879
                  shares
D R HORTON INC    Common equity   23331A109  155712  13515827 SH         DEFINED    1,2,5,6,8,10,12,18        13515827
                  shares
DOVER CORP        Common equity   260003108  542906   8007458 SH         DEFINED    1,2,5,6,8,10,12,17,18      8007458
                  shares
DOW CHEMICAL      Common equity   260543103 1682995  46750083 SH         DEFINED    1,2,5,6,8,10,12,18        46750083
                  shares
DUKE REALTY       Real Estate     264411505  152010  10850143 SH         DEFINED    1,2,3,5,6,8,10,12,18      10850143
 CORP             Investment
                  Trust
EMERSON           Common equity   291011104 1615135  28713226 SH         DEFINED    1,2,5,6,8,10,12,18        28713226
 ELECTRIC CO      shares
EQUITY            Real Estate     29476L107  851524  14191965 SH         DEFINED    1,2,3,5,6,8,10,12,18      14191965
 RESIDENTIAL      Investment
                  Trust
EXPEDITORS        Common equity   302130109  391524   7648312 SH         DEFINED    1,2,5,6,8,10,12,18         7648312
 INTL WASH INC    shares
FRANKLIN          Common equity   354613101  740504   5640225 SH         DEFINED    1,2,5,6,8,10,12,17,18      5638675          1550
 RESOURCES INC    shares
GENERAL           Common equity   369604103 7283667 386838057 SH         DEFINED    1,2,5,6,8,10,12,18,19    385613645
 ELECTRIC CO      shares
GENERAL MILLS     Common equity   370334104 1512691  40641994 SH         DEFINED    1,2,5,6,8,10,12,17,18     40641994
 INC              shares
HASBRO INC        Common Stock    418056107  203759   4638212 SH         DEFINED    1,2,5,6,8,10,12,18         4638212
HONEYWELL         Common equity   438516106 4626372  77636828 SH         DEFINED    1,2,5,6,8,10,12,18        77636828
 INTERNATIONAL    shares
 INC
INTERPUBLIC       Common equity   460690100  227453  18194761 SH         DEFINED    1,2,5,6,8,10,12,18        18194761
 GROUP OF COS     shares
LENNAR CORP       Common equity   526057104  121770   6709095 SH         DEFINED    1,2,5,6,8,10,12            6709095
                  shares
LEVEL 3           Common equity   52729N100   54362  22278312 SH         DEFINED    1,2,5,6,8,12              22278312
 COMMUNICATIONS   shares
 INC
LSI CORP          Common equity   502161102  178510  25070103 SH         DEFINED    1,2,5,6,8,10,12,18        25070103
                  shares
MERCK & CO        Common equity   58933Y105 4228645 119825655 SH         DEFINED    1,2,5,6,8,10,12,17,18    119825655
                  shares
MOHAWK            Common equity   608190104  125966   2099735 SH         DEFINED    1,2,5,6,8,10,12,18         2099735
 INDUSTRIES INC   shares
MORGAN STANLEY    Common equity   617446448 3966335 173316323 SH         DEFINED    1,2,5,6,8,10,12,18,19    171108657        411037
                  shares
ADVANCED MICRO    Common equity   007903107  170966  27316186 SH         DEFINED    1,2,5,6,8,10,12,18,19     21862420
 DEVICES          shares
AMAZON.COM INC    Common equity   023135106 2594937  12689776 SH         DEFINED    1,2,5,6,8,10,12,18        12689776
                  shares
AMEREN CORP       Common equity   023608102  325035  11270450 SH         DEFINED    1,2,5,6,8,10,12,17,18     11270450
                  shares
AVALONBAY         Real Estate     053484101  546261   4254409 SH         DEFINED    1,2,3,5,6,8,10,12,18       4254409
 COMMUNITIES      Investment
 INC              Trust
BARD (C.R.) INC   Common equity   067383109  354797   3229354 SH         DEFINED    1,2,5,6,8,10,12,17,18      3229354
                  shares
BECTON            Common equity   075887109 1135416  13176466 SH         DEFINED    1,2,5,6,8,10,12,17,18     13055423        121043
 DICKINSON & CO   shares
BOSTON            Common equity   101137107  376863  54539085 SH         DEFINED    1,2,5,6,8,10,12,18        54539085
 SCIENTIFIC       shares
 CORP
BRUNSWICK CORP    Common equity   117043109   39425   1932636 SH         DEFINED    1,2,5,6,8                  1932636
                  shares
CAMPBELL SOUP     Common equity   134429109  247256   7156491 SH         DEFINED    1,2,5,6,8,10,12,17,18      7156491
 CO               shares
CARNIVAL          Composition of  143658300  578140  15363909 SH         DEFINED    1,2,5,6,8,10,12,18        15363909
 CORP/PLC (USA)   more than 1
                  security
CHEVRON CORP      Common equity   166764100 10598235103507815 SH         DEFINED    1,2,5,6,8,10,12,17,18,19 102645011
                  shares
CHICOS FAS INC    Common equity   168615102   78681   5166315 SH         DEFINED    1,2,5,6,8,12,17            5155975         10340
                  shares
COMCAST CORP      Common equity   20030N101 2406644  94974045 SH         DEFINED    1,2,5,6,8,10,12,17,18     94974045
                  shares
CONSOLIDATED      Common equity   209115104  902269  16947258 SH         DEFINED    1,2,5,6,8,10,12,17,18     16947258
 EDISON INC       shares
DEERE & CO        Common equity   244199105 1251269  15176128 SH         DEFINED    1,2,5,6,8,10,12,18        15176128
                  shares
DU PONT (E I)     Common equity   263534109 2350760  43492312 SH         DEFINED    1,2,5,6,8,10,12,18        43492312
 DE NEMOURS       shares
EASTMAN KODAK     Common equity   277461109   33421   9335174 SH         DEFINED    1,2,5,6,8,12               9335174
 CO               shares
EDISON            Common equity   281020107 1285123  33605186 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  32763563
 INTERNATIONAL    shares
ENCANA CORP       Common equity   292505104     657     21329 SH         DEFINED    1,2                          21329
                  shares
FIFTH THIRD       Common equity   316773100  515413  40424196 SH         DEFINED    1,2,5,6,8,10,12,18        40424196
 BANCORP          shares
NEXTERA ENERGY    Common equity   65339F101 1072039  18657151 SH         DEFINED    1,2,5,6,8,10,12,18        18657151
 INC              shares
FREEPORT-MCMORAN  Common equity   35671D857 2044845  38655082 SH         DEFINED    1,2,5,6,8,10,12,17,18     38655082
 COP&GOLD         shares
GANNETT CO        Common equity   364730101  111647   7796461 SH         DEFINED    1,2,5,6,8,10,12            7796461
                  shares
GENERAL           Common equity   369550108  984140  13206410 SH         DEFINED    1,2,5,6,8,10,12,18        13206410
 DYNAMICS CORP    shares
GENERAL GROWTH    Real Estate     370023103  202954  12160287 SH         DEFINED    1,2,3,5,6,8,10,12,18      12160287
 PPTYS INC        Investment
                  Trust
HARLEY-DAVIDSON   Common equity   412822108  334129   8155373 SH         DEFINED    1,2,5,6,8,10,12,18         8155373
 INC              shares
HEALTH NET INC    Common equity   42222G108   74238   2313460 SH         DEFINED    1,2,5,6,8,10,12            2313460
                  shares
HOSPIRA INC       Common equity   441060100  358951   6335162 SH         DEFINED    1,2,5,6,8,10,12,18         6335162
                  shares
INTL BUSINESS     Common equity   459200101 10929056 63707714 SH         DEFINED    1,2,5,6,8,10,12,17,18     63707714
 MACHINES CORP    shares
JDS UNIPHASE      Common equity   46612J507  118671   7123096 SH         DEFINED    1,2,5,6,8,10,12,18         7123096
 CORP             shares
JUNIPER           Common Stock    48203R104  604379  19186379 SH         DEFINED    1,2,5,6,8,10,12,18        19186379
 NETWORKS INC
KIMCO REALTY      Real Estate     49446R109  374285  20080304 SH         DEFINED    1,2,3,5,6,8,10,12,18      20080304
 CORP             Investment
                  Trust
KLA-TENCOR CORP   Common equity   482480100  260414   6433285 SH         DEFINED    1,2,5,6,8,10,12,18         6433285
                  shares
LEGGETT &         Common equity   524660107  320743  13156224 SH         DEFINED    1,2,5,6,8,10,12,18        13156224
 PLATT INC        shares
LEXMARK INTL      Common equity   529771107   77278   2641203 SH         DEFINED    1,2,5,6,8,10,12            2641203
 INC  -CL A       shares
LIBERTY           Real Estate     531172104  152116   4669083 SH         DEFINED    1,2,3,5,6,8,10,12,18       4669083
 PROPERTY TRUST   Investment
                  Trust
MICRON            Common Stock    595112103  243058  32494851 SH         DEFINED    1,2,5,6,8,10,12,18        32494851
 TECHNOLOGY INC
PUBLIC STORAGE    Real Estate     74460D109  781539   6855042 SH         DEFINED    1,2,3,5,6,8,10,12,18       6855042
                  Investment
                  Trust
TYSON FOODS       Common equity   902494103  249070  12825633 SH         DEFINED    1,2,5,6,8,10,12,17,18     12825633
 INC  -CL A       shares







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VARIAN MEDICAL    Common equity   92220P105  308021   4399161 SH         DEFINED    1,2,5,6,8,10,12,18         4399161
 SYSTEMS INC      shares
VERISIGN INC      Common equity   92343E102  212974   6364928 SH         DEFINED    1,2,5,6,8,10,12,18         6364928
                  shares
VORNADO REALTY    Real Estate     929042109  788363   8460659 SH         DEFINED    1,2,3,5,6,8,10,12,18       8460659
 TRUST            Investment
                  Trust
WASHINGTON        Common equity   939640108  102106    243690 SH         DEFINED    1,2,5,6,8,10,12,18          243690
 POST  -CL B      shares
WEATHERFORD       Common equity   H27013103  109075   5817117 SH         DEFINED    1,2,5,6,8,10,12,18         5817117
 INTERNATIONAL    shares
WHOLE FOODS       Common equity   966837106  354827   5592258 SH         DEFINED    1,2,5,6,8,10,12,18         5592258
 MARKET INC       shares
WISCONSIN         Common equity   976657106  336065  10719665 SH         DEFINED    1,2,5,6,8,10,12,17,18     10719665
 ENERGY CORP      shares
ALTERA CORP       Common equity   021441100  531141  11459363 SH         DEFINED    1,2,5,6,8,10,12,18        11459363
                  shares
ALTRIA GROUP      Common equity   02209S103 2291881  86780771 SH         DEFINED    1,2,5,6,8,10,12,17,18     86780771
 INC              shares
HESS CORP         Common equity   42809H107  958979  12827428 SH         DEFINED    1,2,5,6,8,10,12,18        12827428
                  shares
AMERICAN AXLE     Common equity   024061103   16044   1409731 SH         DEFINED    1,2,5,6,8                  1409731
 & MFG HOLDINGS   shares
AMERN EAGLE       Common equity   02553E106   68436   5367496 SH         DEFINED    1,2,5,6,8,10,12,18         5367496
 OUTFITTERS INC   shares
WELLPOINT INC     Common equity   94973V107 1155573  14670145 SH         DEFINED    1,2,5,6,8,10,12,18        14670145
                  shares
AVNET INC         Common equity   053807103  144370   4528489 SH         DEFINED    1,2,5,6,8,10,12,18         4528489
                  shares
BARNES & NOBLE    Common equity   067774109   23657   1426679 SH         DEFINED    1,2,5,6,8,12               1426679
 INC              shares
CAPITAL ONE       Common equity   14040H105  980767  18981302 SH         DEFINED    1,2,5,6,8,10,12,18        18981302
 FINANCIAL CORP   shares
CHARLES RIVER     Common equity   159864107   52012   1279570 SH         DEFINED    1,2,5,6,8,10,12            1279570
 LABS INTL INC    shares
CIGNA CORP        Common equity   125509109  534706  10762658 SH         DEFINED    1,2,5,6,8,10,12,18,19     10064714
                  shares
CON-WAY INC       Common equity   205944101   53926   1389545 SH         DEFINED    1,2,5,6,8,12               1389545
                  shares
COVENTRY          Common equity   222862104  203511   5580110 SH         DEFINED    1,2,5,6,8,10,12,18         5580110
 HEALTH CARE      shares
 INC
DORAL             Common equity   25811P886    3229   1647587 SH         DEFINED    1,2,6                      1647587
 FINANCIAL CORP   shares
EXELON CORP       Common equity   30161N101 1302289  30398849 SH         DEFINED    1,2,5,6,8,10,12,18        30398849
                  shares
KIMBERLY-CLARK    Common equity   494368103 1151149  17294972 SH         DEFINED    1,2,5,6,8,10,12,17,18     17294972
 CORP             shares
TORONTO           Common equity   891160509    2097     24697 SH         DEFINED    1,10                         24697
 DOMINION BANK    shares
AETNA INC         Common equity   00817Y108 1043758  23673477 SH         DEFINED    1,2,5,6,8,10,12,18        23673477
                  shares
ALLSTATE CORP     Common equity   020002101  620389  20320833 SH         DEFINED    1,2,5,6,8,10,12,18        20320833
                  shares
APPLIED           Common equity   038222105  677943  52109310 SH         DEFINED    1,2,5,6,8,10,12,18        52109310
 MATERIALS INC    shares
BAKER HUGHES      Common equity   057224107 1290512  17785356 SH         DEFINED    1,2,5,6,8,10,12,18        17785356
 INC              shares
CADENCE DESIGN    Common equity   127387108   74167   7023854 SH         DEFINED    1,2,5,6,8,10,12            7023854
 SYSTEMS INC      shares
CONSTELLATION     Common equity   210371100  341004   8983241 SH         DEFINED    1,2,5,6,8,10,12,18         8983241
 ENERGY GRP INC   shares
CORNING INC       Common equity   219350105 1023768  56406342 SH         DEFINED    1,2,5,6,8,10,12,18        56406342
                  shares
CVS CAREMARK      Common equity   126650100 1923067  51722204 SH         DEFINED    1,2,5,6,8,10,12,18,19     50673088
 CORP             shares
DIRECTV           Common equity   25490A101 1711294  33673657 SH         DEFINED    1,2,5,6,8,10,12,17,18     33669487          4170
                  shares
EL PASO CORP      Common equity   28336L109  660440  32695284 SH         DEFINED    1,2,5,6,8,10,12,18        32695284
                  shares
ENERGIZER         Common equity   29266R108  157353   2174593 SH         DEFINED    1,2,5,6,8,10,12,18         2174593
 HOLDINGS INC     shares
EQUIFAX INC       Common equity   294429105  183374   5826152 SH         DEFINED    1,2,5,6,8,10,12,18,19      4787347
                  shares
FISERV INC        Common equity   337738108  405691   6477601 SH         DEFINED    1,2,5,6,8,10,12,18         6477601
                  shares
HALLIBURTON CO    Common equity   406216101 1871366  36693264 SH         DEFINED    1,2,5,6,8,10,12,18        36693264
                  shares
HUNTINGTON        Common equity   446150104  271836  41438082 SH         DEFINED    1,2,5,6,8,10,12           41438082
 BANCSHARES       shares
INTL GAME         Common equity   459902102  193419  11002083 SH         DEFINED    1,2,5,6,8,10,12,18        11002083
 TECHNOLOGY       shares
ITT CORP          Common equity   450911102  437318   7828265 SH         DEFINED    1,2,5,6,8,10,12,18,19      7050914
                  shares
LIBERTY GLOBAL    Common equity   530555101  148341   3293422 SH         DEFINED    1,2,5,6,8,10,12,18         3293422
 INC              shares
LIZ CLAIBORNE     Common equity   539320101   10786   2016254 SH         DEFINED    1,2,5,6,8                  2016254
 INC              shares
MICROSOFT CORP    Common equity   594918104 7784416 301646254 SH         DEFINED    1,2,5,6,8,10,12,17,18,19 297361812
                  shares
ALCOA INC         Common equity   013817101  803188  50642271 SH         DEFINED    1,2,5,6,8,10,12,18        50642271
                  shares
FIDELITY          Common equity   31620M106  296352   9624963 SH         DEFINED    1,2,5,6,8,10,12,18         9624963
 NATIONAL INFO    shares
 SVCS
COSTCO            Common equity   22160K105 1324890  16308442 SH         DEFINED    1,2,5,6,8,10,12,18        16308442
 WHOLESALE CORP   shares
DOMINION          Common equity   25746U109 1243194  25755049 SH         DEFINED    1,2,5,6,8,10,12,18        25755049
 RESOURCES INC    shares
ELECTRONIC        Common equity   285512109  279044  11824041 SH         DEFINED    1,2,5,6,8,10,12,18        11824041
 ARTS INC         shares
FEDEX CORP        Common equity   31428X106 1091448  11507094 SH         DEFINED    1,2,5,6,8,10,12,18        11507094
                  shares
HARMAN            Common equity   413086109  108380   2378158 SH         DEFINED    1,2,5,6,8,10,12,17         2378158
 INTERNATIONAL    shares
 INDS
HEWLETT-PACKARD   Common equity   428236103 3840706 106406820 SH         DEFINED    1,2,5,6,8,10,12,18,19    104703326
 CO               shares
HILL-ROM          Common equity   431475102   83459   1812717 SH         DEFINED    1,2,5,6,8,12,17            1812717
 HOLDINGS INC     shares
INTL PAPER CO     Common equity   460146103 1006008  33735616 SH         DEFINED    1,2,5,6,8,10,12,18        33735616
                  shares
KRAFT FOODS INC   Common equity   50075N104 2995196  85877461 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  84238434
                  shares
LINCARE           Common equity   532791100   71164   2431249 SH         DEFINED    1,2,5,6,8,12               2431249
 HOLDINGS INC     shares
LINCOLN           Common equity   534187109  352010  12355725 SH         DEFINED    1,2,5,6,8,10,12,18        12355725
 NATIONAL CORP    shares
MARSH &           Common equity   571748102  642914  20612620 SH         DEFINED    1,2,5,6,8,10,12,18        20612620
 MCLENNAN COS     shares
METLIFE INC       Common equity   59156R108 1816865  42084728 SH         DEFINED    1,2,5,6,8,10,12,18,19     40806143
                  shares
ALLEGHENY         Common equity   01741R102  295085   4649325 SH         DEFINED    1,2,5,6,8,10,12,18         4649325
 TECHNOLOGIES     shares
 INC
ALLERGAN INC      Common equity   018490102  917595  11022193 SH         DEFINED    1,2,5,6,8,10,12,18        11022193
                  shares
AMERICAN          Common equity   025537101  828924  21998964 SH         DEFINED    1,2,5,6,8,10,12,17,18     21998964
 ELECTRIC         shares
 POWER CO
APPLE INC         Common equity   037833100 11828666 35239000 SH         DEFINED    1,2,5,6,8,10,12,18        35239000
                  shares
ASHLAND INC       Common equity   044209104  129516   2004287 SH         DEFINED    1,2,5,6,8,12,17            2001417          2870
                  shares
AUTODESK INC      Common equity   052769106  327693   8489468 SH         DEFINED    1,2,5,6,8,10,12,18         8489468
                  shares
AUTOMATIC DATA    Common equity   053015103 1054476  20016669 SH         DEFINED    1,2,5,6,8,10,12,18        20016669
 PROCESSING       shares
AUTONATION INC    Common equity   05329W102   81116   2215609 SH         DEFINED    1,2,5,6,8,10,12            2215609
                  shares
BEMIS CO INC      Common equity   081437105  248084   7343886 SH         DEFINED    1,2,5,6,8,10,12,17         7339156          4730
                  shares
BEST BUY CO INC   Common equity   086516101  401708  12789187 SH         DEFINED    1,2,5,6,8,10,12,18        12789187
                  shares
BIG LOTS INC      Common equity   089302103   86798   2618354 SH         DEFINED    1,2,5,6,8,10,12            2618354
                  shares
OFFICEMAX INC     Common equity   67622P101   22572   2875091 SH         DEFINED    1,2,5,6,8                  2875091
                  shares
BRISTOL-MYERS     Common equity   110122108 1855001  64085649 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  64024378
 SQUIBB CO        shares
BROADCOM CORP     Common equity   111320107  615479  18295937 SH         DEFINED    1,2,5,6,8,10,12,18        18295937
                  shares
BROWN-FORMAN      Common equity   115637209  350432   4691909 SH         DEFINED    1,2,5,6,8,10,12,18         4691909
 -CL B            shares
CENTERPOINT       Common equity   15189T107  387010  20000404 SH         DEFINED    1,2,5,6,8,10,12,18        20000404
 ENERGY INC       shares
CENTURYLINK INC   Common equity   156700106 1368606  33851259 SH         DEFINED    1,2,5,6,8,10,12,17,18     33851259
                  shares
CINTAS CORP       Common equity   172908105  164793   4989167 SH         DEFINED    1,2,5,6,8,10,12,18         4989167
                  shares
CISCO SYSTEMS     Common equity   17275R102 3321502 214202255 SH         DEFINED    1,2,5,6,8,10,12,18,19    211489682
 INC              shares
FRONTIER          Common equity   35906A108  299117  37065658 SH         DEFINED    1,2,5,6,8,10,12,17,18     37065658
 COMMUNICATIONS   shares
 CORP
CITRIX SYSTEMS    Common equity   177376100  543274   6790885 SH         DEFINED    1,2,5,6,8,10,12,18         6790885
 INC              shares
CMS ENERGY CORP   Common equity   125896100  203256  10322705 SH         DEFINED    1,2,5,6,8,10,12           10322705
                  shares
COCA-COLA CO      Common equity   191216100 5711988  84886128 SH         DEFINED    1,2,5,6,8,10,12,17,18     84886128
                  shares
COLGATE-PALMOLIVE Common equity   194162103 3280434  37529222 SH         DEFINED    1,2,5,6,8,10,12,17,18     37529222
 CO               shares
COMERICA INC      Common equity   200340107  285855   8268905 SH         DEFINED    1,2,5,6,8,10,12,18         8268905
                  shares
CONOCOPHILLIPS    Common equity   20825C104 4158696  55721893 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  54934435
                  shares
COOPER            Common equity   G24140108  173832   2913154 SH         DEFINED    1,2,5,6,8,10,12,18         2913154
 INDUSTRIES PLC   shares
COOPER TIRE &     Common equity   216831107   29789   1505270 SH         DEFINED    1,2,5,6,8                  1505270
 RUBBER CO        shares
MOLSON COORS      Common equity   60871R209  271998   6079362 SH         DEFINED    1,2,5,6,8,10,12,18         6079362
 BREWING CO       shares
CRANE CO          Common equity   224399105   60731   1229076 SH         DEFINED    1,2,5,6,8,12               1229076
                  shares
CUMMINS INC       Common equity   231021106 1437068  13886108 SH         DEFINED    1,2,5,6,8,10,12,18        13886108
                  shares
DELUXE CORP       Common equity   248019101   45281   1832636 SH         DEFINED    1,2,5,6,8,12,17            1832636
                  shares
DEVON ENERGY      Common equity   25179M103 1355183  17195600 SH         DEFINED    1,2,5,6,8,10,12,18        17195600
 CORP             shares
DILLARDS INC      Common equity   254067101   35923    689018 SH         DEFINED    1,2,5,6,8,17,18             689018
 -CL A            shares
DUKE ENERGY       Common equity   26441C105 1112411  59076300 SH         DEFINED    1,2,5,6,8,10,12,17,18     59076300
 CORP             shares
DYNEGY INC        Common equity   26817G300   14720   2378229 SH         DEFINED    1,2,5,6,8                  2378229
                  shares
E TRADE           Common equity   269246401  106037   7683985 SH         DEFINED    1,2,5,6,8,10,12            7683985
 FINANCIAL CORP   shares
EASTMAN           Common equity   277432100  309083   3028222 SH         DEFINED    1,2,5,6,8,10,12,17,18      3028222
 CHEMICAL CO      shares
EBAY INC          Common equity   278642103 1368221  42399142 SH         DEFINED    1,2,5,6,8,10,12,17,18     42399142
                  shares
EMC CORP/MA       Common equity   268648102 2077327  75401973 SH         DEFINED    1,2,5,6,8,10,12,18        75401973
                  shares
ENTERGY CORP      Common equity   29364G103  552531   8092115 SH         DEFINED    1,2,5,6,8,10,12,18         8092115
                  shares
EOG RESOURCES     Common equity   26875P101 1116374  10677860 SH         DEFINED    1,2,5,6,8,10,12,18        10677860
 INC              shares
EXXON MOBIL       Common equity   30231G102 15782563194675266 SH         DEFINED    1,2,5,6,8,10,12,17,18,19 193266351
 CORP             shares
FAMILY DOLLAR     Common equity   307000109  242959   4622447 SH         DEFINED    1,2,5,6,8,10,12,17,18      4622447
 STORES           shares
MACY`S INC        Common equity   55616P104  491807  16819496 SH         DEFINED    1,2,5,6,8,10,12,17,18     16819496
                  shares
FEDERATED         Common equity   314211103   73068   3065069 SH         DEFINED    1,2,5,6,8,10,12            3065069
 INVESTORS INC    shares
FOREST            Common equity   345838106  419735  10669332 SH         DEFINED    1,2,5,6,8,10,12,18        10669332
 LABORATORIES     shares
 -CL A
GAP INC           Common equity   364760108  282402  15601956 SH         DEFINED    1,2,5,6,8,10,12,17,18     15601956
                  shares
GILEAD            Common equity   375558103 1282548  30971980 SH         DEFINED    1,2,5,6,8,10,12,18        30971980
 SCIENCES INC     shares
GOODRICH CORP     Common equity   382388106  444447   4653827 SH         DEFINED    1,2,5,6,8,10,12,18         4653827
                  shares
GOODYEAR TIRE     Common equity   382550101  145854   8697519 SH         DEFINED    1,2,5,6,8,10,12,17,18      8697519
 & RUBBER CO      shares
GRAINGER (WW)     Common equity   384802104  339417   2209044 SH         DEFINED    1,2,5,6,8,10,12,18         2209044
 INC              shares
HEINZ (HJ) CO     Common equity   423074103  635846  11933931 SH         DEFINED    1,2,5,6,8,10,12,17,18     11933931
                  shares
HUMANA INC        Common equity   444859102  503351   6249794 SH         DEFINED    1,2,5,6,8,10,12,17,18      6249794
                  shares
INGERSOLL-RAND    Common equity   G47791101  524751  11555834 SH         DEFINED    1,2,5,6,8,10,12,18        11555834
 PLC              shares
JANUS CAPITAL     Common equity   47102X105   61778   6545169 SH         DEFINED    1,2,5,6,8,10,12            6545169
 GROUP INC        shares
JOHNSON &         Common equity   478160104 9277523 139922435 SH         DEFINED    1,2,5,6,8,10,12,17,18,19 138692197        366206
 JOHNSON          shares
KB HOME           Common equity   48666K109   50356   5148922 SH         DEFINED    1,2,5,6,8,12               5148922
                  shares
KEYCORP           Common equity   493267108  371168  44559710 SH         DEFINED    1,2,5,6,8,10,12,18        44559710
                  shares
KOHL`S CORP       Common equity   500255104  520620  10410540 SH         DEFINED    1,2,5,6,8,10,12,18        10410540
                  shares
LOCKHEED          Common equity   539830109 5427352  67029081 SH         DEFINED    1,2,5,6,8,10,12,17,18     67029081
 MARTIN CORP      shares
LOEWS CORP        Common equity   540424108  507289  12052375 SH         DEFINED    1,2,5,6,8,10,12,18        12052375
                  shares
LOUISIANA-PACIFIC Common equity   546347105   36214   4449061 SH         DEFINED    1,2,5,6,8,12               4449061
 CORP             shares
M & T BANK CORP   Common equity   55261F104  477650   5430778 SH         DEFINED    1,2,5,6,8,10,12,18         5430778
                  shares
MARRIOTT INTL     Common equity   571903202  399843  11266270 SH         DEFINED    1,2,5,6,8,10,12,18        11266270
 INC              shares
MASCO CORP        Common equity   574599106  188061  15632667 SH         DEFINED    1,2,5,6,8,10,12,18        15632667
                  shares
MATTEL INC        Common Stock    577081102  351213  12776355 SH         DEFINED    1,2,5,6,8,10,12,18        12776355
MBIA INC          Common equity   55262C100   21412   2463732 SH         DEFINED    1,2,5,6,8                  2463732
                  shares
MCGRAW-HILL       Common equity   580645109  546773  13046371 SH         DEFINED    1,2,5,6,8,10,12,18        13046371
 COMPANIES        shares
MCKESSON CORP     Common equity   58155Q103  800078   9564580 SH         DEFINED    1,2,5,6,8,10,12,17,18      9564580
                  shares
MEADWESTVACO      Common equity   583334107  305789   9180383 SH         DEFINED    1,2,5,6,8,10,12,18         9180383
 CORP             shares
MEREDITH CORP     Common equity   589433101   37029   1189498 SH         DEFINED    1,2,5,6,8,12               1189498
                  shares
MGIC              Common equity   552848103   29075   4885443 SH         DEFINED    1,2,5,6,8                  4885443
 INVESTMENT       shares
 CORP/WI
MOLEX INC         Common equity   608554101  112327   4358415 SH         DEFINED    1,2,5,6,8,10,12            4358415
                  shares
MONSTER           Common Stock    611742107   58172   3967647 SH         DEFINED    1,2,5,6,8,10,12            3967647
 WORLDWIDE INC
MYLAN INC         Common Stock    628530107  401456  16273140 SH         DEFINED    1,2,5,6,8,10,12,18        16273140
NABORS            Common equity   G6359F103  336199  13644690 SH         DEFINED    1,2,5,6,8,10,12,18        13644690
 INDUSTRIES LTD   shares
NAVISTAR          Common Stock    63934E108   50180    888639 SH         DEFINED    1,2,5,6,8,12,17             888639
 INTERNATIONAL
 CORP
NCR CORP          Common equity   62886E108   83470   4418612 SH         DEFINED    1,2,5,6,8,12,17            4418612
                  shares
NETAPP INC        Common equity   64110D104  705406  13364936 SH         DEFINED    1,2,5,6,8,10,12,18        13364936
                  shares
NEWELL            Common equity   651229106  165123  10463605 SH         DEFINED    1,2,5,6,8,10,12,18        10463605
 RUBBERMAID INC   shares
NEWMONT MINING    Common equity   651639106 1087410  20148502 SH         DEFINED    1,2,5,6,8,10,12,17,18     20148502
 CORP             shares
NICOR INC         Common equity   654086107  122050   2229683 SH         DEFINED    1,2,5,6,8,10,12            2229683
                  shares
NIKE INC          Common equity   654106103 1169404  12996182 SH         DEFINED    1,2,5,6,8,10,12,18        12996182
                  shares
NISOURCE INC      Common equity   65473P105  288794  14261678 SH         DEFINED    1,2,5,6,8,10,12,17,18     14261678
                  shares
NOBLE CORP        Common equity   H5833N103  326626   8287843 SH         DEFINED    1,2,5,6,8,10,12,18         8287843
                  shares
NORDSTROM INC     Common equity   655664100  290613   6191086 SH         DEFINED    1,2,5,6,8,10,12,18         6191086
                  shares
NORFOLK           Common equity   655844108 1008851  13463959 SH         DEFINED    1,2,5,6,8,10,12,18        13463959
 SOUTHERN CORP    shares
NORTHERN TRUST    Common equity   665859104  437633   9900368 SH         DEFINED    1,2,5,6,8,10,12,18,19      9178522
 CORP             shares
NOVELLUS          Common equity   670008101  107334   2969866 SH         DEFINED    1,2,5,6,8,10,12            2969866
 SYSTEMS INC      shares
NUCOR CORP        Common equity   670346105  549808  13338315 SH         DEFINED    1,2,5,6,8,10,12,18        13338315
                  shares
OCCIDENTAL        Common equity   674599105 3307179  32131743 SH         DEFINED    1,2,5,6,8,10,12,18,19     31475041
 PETROLEUM CORP   shares
OFFICE DEPOT      Common equity   676220106   48947  11599247 SH         DEFINED    1,2,5,6,8,12              11599247
 INC              shares
OMNICOM GROUP     Common equity   681919106  478082   9926928 SH         DEFINED    1,2,5,6,8,10,12,18         9926928
                  shares
ORACLE CORP       Common equity   68389X105 4774800 146227278 SH         DEFINED    1,2,5,6,8,10,12,17,18,19 144050977
                  shares
PACCAR INC        Common equity   693718108  674736  13206912 SH         DEFINED    1,2,5,6,8,10,12,18        13206912
                  shares
PALL CORP         Common equity   696429307  247795   4406823 SH         DEFINED    1,2,5,6,8,10,12,18         4406823
                  shares
PARAMETRIC        Common equity   699173209   87631   3821547 SH         DEFINED    1,2,5,6,8,12               3821547
 TECHNOLOGY       shares
 CORP
PARKER-HANNIFIN   Common equity   701094104  581785   6482974 SH         DEFINED    1,2,5,6,8,10,12,17,18      6482974
 CORP             shares
PAYCHEX INC       Common equity   704326107  360028  11719773 SH         DEFINED    1,2,5,6,8,10,12,17,18     11719773
                  shares
PENNEY (JC) CO    Common equity   708160106  807237  23791167 SH         DEFINED    1,2,5,6,8,10,12,18,19     22989742
                  shares
PEPSICO INC       Common equity   713448108 4097657  58691851 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  57716442
                  shares
PERKINELMER INC   Common equity   714046109  102994   3827468 SH         DEFINED    1,2,5,6,8,10,12            3827468
                  shares
PFIZER INC        Common equity   717081103 6252338 305296846 SH         DEFINED    1,2,5,6,8,10,12,17,18,19 301890536
                  shares
PG&E CORP         Common equity   69331C108  753536  17928510 SH         DEFINED    1,2,5,6,8,10,12,17,18     17928510
                  shares
PINNACLE WEST     Common equity   723484101  342944   7692998 SH         DEFINED    1,2,5,6,8,10,12,17,18      7692998
 CAPITAL CORP     shares
PITNEY BOWES      Common equity   724479100  410541  17857702 SH         DEFINED    1,2,5,6,8,10,12,18        17857702
 INC              shares
PLUM CREEK        Real Estate     729251108  244355   6027698 SH         DEFINED    1,2,5,6,8,10,12,18         6027698
 TIMBER CO INC    Investment
                  Trust
PMC-SIERRA INC    Common equity   69344F106   25619   3384489 SH         DEFINED    1,2,5,6,8                  3384489
                  shares
PNC FINANCIAL     Common equity   693475105 1274690  21845333 SH         DEFINED    1,2,5,6,8,10,12,18,19     20964863
 SVCS GROUP INC   shares
POWER-ONE INC     Common Stock    73930R102   11301   1395096 SH         DEFINED    1,2,6,8                    1395096
PPG INDUSTRIES    Common equity   693506107  710585   8021347 SH         DEFINED    1,2,5,6,8,10,12,17,18,19   7649870
 INC              shares
PPL CORP          Common equity   69351T106  711476  25564919 SH         DEFINED    1,2,5,6,8,10,12,18        25564919
                  shares
PRAXAIR INC       Common equity   74005P104 1301943  12011662 SH         DEFINED    1,2,5,6,8,10,12,18        12011662
                  shares
PRICE (T.         Common equity   74144T108  572637   9490388 SH         DEFINED    1,2,5,6,8,10,12,18         9490388
 ROWE) GROUP      shares
PRINCIPAL         Common equity   74251V102  379519  12476255 SH         DEFINED    1,2,5,6,8,10,12,18        12476255
 FINANCIAL GRP    shares
 INC
PROCTER &         Common equity   742718109 7098016 111656815 SH         DEFINED    1,2,5,6,8,10,12,17,18    111656815
 GAMBLE CO        shares
PROGRESS          Common equity   743263105 1272162  26497943 SH         DEFINED    1,2,5,6,8,10,12,17,18     13105989      13391954
 ENERGY INC       shares
PROGRESSIVE       Common equity   743315103  520582  24348948 SH         DEFINED    1,2,5,6,8,10,12,18        24348948
 CORP-OHIO        shares
PRUDENTIAL        Common equity   744320102 1193981  18776344 SH         DEFINED    1,2,5,6,8,10,12,18        18776344
 FINANCIAL INC    shares
PUBLIC SERVICE    Common equity   744573106  740511  22687291 SH         DEFINED    1,2,5,6,8,10,12,18        22687291
 ENTRP GRP INC    shares
PULTEGROUP INC    Common equity   745867101  121684  15884509 SH         DEFINED    1,2,5,6,8,10,12,18        15884509
                  shares
QLOGIC CORP       Common equity   747277101   45050   2829856 SH         DEFINED    1,2,5,6,8,12               2829856
                  shares
QUALCOMM INC      Common equity   747525103 3468119  61069217 SH         DEFINED    1,2,5,6,8,10,12,18        61069217
                  shares
QUEST             Common equity   74834L100  337701   5714132 SH         DEFINED    1,2,5,6,8,10,12,18         5714132
 DIAGNOSTICS      shares
 INC
RADIOSHACK CORP   Common equity   750438103   44227   3322667 SH         DEFINED    1,2,5,6,8,12               3322667
                  shares
RAYTHEON CO       Common equity   755111507  680902  13659056 SH         DEFINED    1,2,5,6,8,10,12,17,18     13659056
                  shares
REGIONS           Common equity   7591EP100  369984  59674771 SH         DEFINED    1,2,5,6,8,10,12,18        59674771
 FINANCIAL CORP   shares
REYNOLDS          Common equity   761713106  455863  12304032 SH         DEFINED    1,2,5,6,8,10,12,17,18     12304032
 AMERICAN INC     shares
ROBERT HALF       Common equity   770323103  147725   5464815 SH         DEFINED    1,2,5,6,8,10,12,18         5464815
 INTL INC         shares
ROCKWELL          Common equity   773903109  460909   5312483 SH         DEFINED    1,2,5,6,8,10,12,18         5312483
 AUTOMATION       shares
ROCKWELL          Common equity   774341101  358030   5803747 SH         DEFINED    1,2,5,6,8,10,12,18         5803747
 COLLINS INC      shares
ROWAN COS INC     Common equity   779382100  251103   6470063 SH         DEFINED    1,2,5,6,8,10,12,18         6470063
                  shares
RYDER SYSTEM      Common equity   783549108  108091   1901260 SH         DEFINED    1,2,5,6,8,10,12            1901260
 INC              shares
SAFEWAY INC       Common equity   786514208  342330  14648330 SH         DEFINED    1,2,5,6,8,10,12,17,18     14639820          8510
                  shares
SANMINA-SCI       Common equity   800907206   16459   1593600 SH         DEFINED    1,2,5,6,8                  1593600
 CORP             shares
SARA LEE CORP     Common equity   803111103  424861  22372775 SH         DEFINED    1,2,5,6,8,10,12,18        22372775
                  shares







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AT&T INC          Common equity   00206R102 7099917 226844608 SH         DEFINED    1,2,5,6,8,10,12,17,18,19 225309866
                  shares
SCHLUMBERGER      Common equity   806857108 4609973  53356173 SH         DEFINED    1,2,5,6,8,10,12,18        53356173
 LTD              shares
SCHWAB (CHARLES)  Common equity   808513105  604725  36761340 SH         DEFINED    1,2,5,6,8,10,12,18        36761340
 CORP             shares
SEALED AIR CORP   Common equity   81211K100  159071   6686373 SH         DEFINED    1,2,5,6,8,10,12,18         6686373
                  shares
SEMPRA ENERGY     Common equity   816851109  577731  10925439 SH         DEFINED    1,2,5,6,8,10,12,18        10925439
                  shares
SHERWIN-WILLIAMS  Common equity   824348106  373663   4455263 SH         DEFINED    1,2,5,6,8,10,12,17,18      4455263
 CO               shares
SIGMA-ALDRICH     Common equity   826552101  354365   4829165 SH         DEFINED    1,2,5,6,8,10,12,18         4829165
 CORP             shares
SIMON PROPERTY    Real Estate     828806109 1668699  14356936 SH         DEFINED    1,2,3,5,6,8,10,12,18      14356936
 GROUP INC        Investment
                  Trust
SLM CORP          Common equity   78442P106  353193  21010544 SH         DEFINED    1,2,5,6,8,10,12,18        21010544
                  shares
SNAP-ON INC       Common equity   833034101  120200   1923911 SH         DEFINED    1,2,5,6,8,10,12            1923911
                  shares
SOUTHERN CO       Common equity   842587107 1523405  37726511 SH         DEFINED    1,2,5,6,8,10,12,17,18     37726511
                  shares
SOUTHWEST         Common equity   844741108  302770  26512064 SH         DEFINED    1,2,5,6,8,10,12,18        26512064
 AIRLINES         shares
SPRINT NEXTEL     Common equity   852061100  663729 123141135 SH         DEFINED    1,2,5,6,8,10,12,17,18    123141135
 CORP             shares
ST JUDE           Common equity   790849103  564668  11843074 SH         DEFINED    1,2,5,6,8,10,12,18        11843074
 MEDICAL INC      shares
TRAVELERS COS     Common equity   89417E109 1337594  22911932 SH         DEFINED    1,2,5,6,8,10,12,17,18     22911932
 INC              shares
STANLEY BLACK     Common equity   854502101  514934   7146790 SH         DEFINED    1,2,5,6,8,10,12,17,18      7146790
 & DECKER INC     shares
STAPLES INC       Common equity   855030102  406354  25718815 SH         DEFINED    1,2,5,6,8,10,12,18        25718815
                  shares
STARBUCKS CORP    Common equity   855244109 1044252  26443572 SH         DEFINED    1,2,5,6,8,10,12,18        26443572
                  shares
STARWOOD          Common equity   85590A401  458180   8176046 SH         DEFINED    1,2,3,5,6,8,10,12,18       8176046
 HOTELS&RESORTS   shares
 WRLD
STATE STREET      Common equity   857477103 1074853  23838015 SH         DEFINED    1,2,5,6,8,10,12,18        23838015
 CORP             shares
STRYKER CORP      Common equity   863667101  681447  11644540 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  11578012          2610
                  shares
SUNOCO INC        Common equity   86764P109  340727   8169094 SH         DEFINED    1,2,5,6,8,10,12,18         6295897       1873197
                  shares
SUNTRUST BANKS    Common equity   867914103  594598  23046263 SH         DEFINED    1,2,5,6,8,10,12,17,18     23040153          6110
 INC              shares
SUPERVALU INC     Common equity   868536103  125610  13348545 SH         DEFINED    1,2,5,6,8,10,12,18        13348545
                  shares
SYMANTEC CORP     Common equity   871503108  613996  31135765 SH         DEFINED    1,2,5,6,8,10,12,18        31135765
                  shares
SYNOVUS           Common equity   87161C105   51168  24600272 SH         DEFINED    1,2,5,6,8,12              24600272
 FINANCIAL CORP   shares
SYSCO CORP        Common equity   871829107  672640  21572840 SH         DEFINED    1,2,5,6,8,10,12,17,18     21572840
                  shares
TARGET CORP       Common equity   87612E106 2977732  63477550 SH         DEFINED    1,2,5,6,8,10,12,18        63477550
                  shares
TECO ENERGY INC   Common equity   872375100  168766   8934321 SH         DEFINED    1,2,5,6,8,10,12            8934321
                  shares
TELLABS INC       Common equity   879664100   60314  13083180 SH         DEFINED    1,2,5,6,8,10,12           13083180
                  shares
TEMPLE-INLAND     Common equity   879868107   83663   2812974 SH         DEFINED    1,2,5,6,8,12               2812974
 INC              shares
TENET HEALTHCARE  Common equity   88033G100  100610  16124562 SH         DEFINED    1,2,5,6,8,10,12,18        16124562
 CORP             shares
TERADYNE INC      Common equity   880770102   92878   6275966 SH         DEFINED    1,2,5,6,8,10,12,17,18      6275966
                  shares
TEXAS INSTRUMENTS Common equity   882508104 1433783  43673092 SH         DEFINED    1,2,5,6,8,10,12,17,18     43673092
 INC              shares
TEXTRON INC       Common equity   883203101  234697   9940459 SH         DEFINED    1,2,5,6,8,10,12,18         9940459
                  shares
THERMO FISHER     Common equity   883556102  971922  15094078 SH         DEFINED    1,2,5,6,8,10,12,18        15094078
 SCIENTIFIC INC   shares
THOMAS & BETTS    Common equity   884315102   67897   1260837 SH         DEFINED    1,2,5,6,8,12               1260837
 CORP             shares
TIFFANY & CO      Common equity   886547108  356776   4543761 SH         DEFINED    1,2,5,6,8,10,12,18         4543761
                  shares
TIME WARNER INC   Common equity   887317303 1458134  40091508 SH         DEFINED    1,2,5,6,8,10,12,17,18     40091508
                  shares
TJX COMPANIES     Common equity   872540109  755833  14388504 SH         DEFINED    1,2,5,6,8,10,12,18        14388504
 INC              shares
TORCHMARK CORP    Common equity   891027104  194331   3029861 SH         DEFINED    1,2,5,6,8,10,12,17,18      3029861
                  shares
TRANSOCEAN LTD    Common equity   H8817H100   47748    739508 SH         DEFINED    1,2,5,6,8,12,18             739508
                  shares
TYCO              Common equity   H89128104  918269  19302859 SH         DEFINED    1,2,5,6,8,10,12,18,19     17918420
 INTERNATIONAL    shares
 LTD
U S BANCORP       Common equity   902973304 1945669  76270734 SH         DEFINED    1,2,5,6,8,10,12,18        76270734
                  shares
UNION PACIFIC     Common equity   907818108 1853581  17754599 SH         DEFINED    1,2,5,6,8,10,12,18        17754599
 CORP             shares
UNISYS CORP       Common equity   909214306   26828   1044003 SH         DEFINED    1,2,5,6,8                  1044003
                  shares
UNITED PARCEL     Common equity   911312106 2373534  32545383 SH         DEFINED    1,2,5,6,8,10,12,17,18     32543093          2290
 SERVICE INC      shares
UNITED STATES     Common equity   912909108  296678   6443975 SH         DEFINED    1,2,5,6,8,10,12,18         6443975
 STEEL CORP       shares
UNITED            Common equity   913017109 9849514 111281307 SH         DEFINED    1,2,5,6,8,10,12,18       111281307
 TECHNOLOGIES     shares
 CORP
UNITEDHEALTH      Common equity   91324P102 2110332  41242638 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  40615325
 GROUP INC        shares
UNUM GROUP        Common equity   91529Y106  326022  12795408 SH         DEFINED    1,2,5,6,8,10,12,18        12795408
                  shares
VALERO ENERGY     Common equity   91913Y100  657155  25970318 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  25454903
 CORP             shares
VERIZON           Common equity   92343V104 4159089 112105645 SH         DEFINED    1,2,5,6,8,10,12,17,18,19 111357457
 COMMUNICATIONS   shares
 INC
VF CORP           Common equity   918204108  461933   4255072 SH         DEFINED    1,2,5,6,8,10,12,17,18      4255072
                  shares
CBS CORP          Common equity   124857202  687845  24143214 SH         DEFINED    1,2,5,6,8,10,12,17,18     24143214
                  shares
VULCAN            Common equity   929160109  194867   5057486 SH         DEFINED    1,2,5,6,8,10,12,18         5057486
 MATERIALS CO     shares
WAL-MART          Common equity   931142103 4173827  79296993 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  77860132
 STORES INC       shares
WALGREEN CO       Common equity   931422109 1503834  35417818 SH         DEFINED    1,2,5,6,8,10,12,17,18     35417818
                  shares
WASTE             Common equity   94106L109  763820  20494154 SH         DEFINED    1,2,5,6,8,10,12,17,18     20494154
 MANAGEMENT INC   shares
WATERS CORP       Common equity   941848103  327053   3416164 SH         DEFINED    1,2,5,6,8,10,12,18         3416164
                  shares
WATSON            Common equity   942683103  320353   4661114 SH         DEFINED    1,2,5,6,8,10,12,18         4661114
 PHARMACEUTICALS  shares
 INC
WELLS FARGO &     Common equity   949746101 5631074 202015744 SH         DEFINED    1,2,5,6,8,10,12,18,19    199466753
 CO               shares
WEYERHAEUSER CO   Common equity   962166104  431094  19721122 SH         DEFINED    1,2,5,6,8,10,12,18        19721122
                  shares
WHIRLPOOL CORP    Common equity   963320106  255535   3142334 SH         DEFINED    1,2,5,6,8,10,12,17,18      3142334
                  shares
WILLIAMS COS      Common equity   969457100  766168  25327818 SH         DEFINED    1,2,5,6,8,10,12,18        25327818
 INC              shares
WORTHINGTON       Common equity   981811102   82842   3586047 SH         DEFINED    1,2,5,6,8,12               3586047
 INDUSTRIES       shares
XCEL ENERGY INC   Common equity   98389B100  530184  21818351 SH         DEFINED    1,2,5,6,8,10,12,18        21818351
                  shares
XEROX CORP        Common equity   984121103  826719  79416774 SH         DEFINED    1,2,5,6,8,10,12,18        79416774
                  shares
XILINX INC        Common equity   983919101  359095   9846069 SH         DEFINED    1,2,5,6,8,10,12,18         9846069
                  shares
XL GROUP PLC      Common equity   G98290102  275590  12538106 SH         DEFINED    1,2,5,6,8,10,12,18        12538106
                  shares
YAHOO INC         Common equity   984332106  848551  56419997 SH         DEFINED    1,2,5,6,8,10,12,18        56419997
                  shares
YUM BRANDS INC    Common equity   988498101 1142562  20683826 SH         DEFINED    1,2,5,6,8,10,12,18        16383303       4300523
                  shares
ZIMMER            Common equity   98956P102  481771   7622855 SH         DEFINED    1,2,5,6,8,10,12,17,18      7622855
 HOLDINGS INC     shares
ZIONS             Common equity   989701107  217969   9078172 SH         DEFINED    1,2,5,6,8,10,12            9078172
 BANCORPORATION   shares
NEWS CORP         Common Stock    65248E104 1452053  82036856 SH         DEFINED    1,2,5,6,8,10,12,18        82036856
SHIP FINANCE      Common equity   G81075106   20738   1150922 SH         DEFINED    1,2,5,6                    1150922
 INTL LTD         shares
CNO FINANCIAL     Common equity   12621E103   40924   5173116 SH         DEFINED    1,2,5,6,8,12,17,18         5173116
 GROUP INC        shares
CEPHALON INC      Common equity   156708109  239662   2999425 SH         DEFINED    1,2,5,6,8,10,12,18         2999425
                  shares
HARRIS CORP       Common equity   413875105  228396   5068248 SH         DEFINED    1,2,5,6,8,10,12,17,18      5068248
                  shares
SEARS HOLDINGS    Common equity   812350106  253953   3554766 SH         DEFINED    1,2,5,6,8,10,12,18         3554766
 CORP             shares
MEMC              Common equity   552715104   64494   7561557 SH         DEFINED    1,2,5,6,8,10,12,18         7561557
 ELECTRONIC       shares
 MATRIALS INC
YRC WORLDWIDE     Common equity   984249300      72     63694 SH         DEFINED    1,6                          63694
 INC              shares
CREE INC          Common equity   225447101  108456   3229077 SH         DEFINED    1,2,5,6,8,10,12,18         3229077
                  shares
CHESAPEAKE        Common equity   165167107  813240  27390898 SH         DEFINED    1,2,5,6,8,10,12,18        27390898
 ENERGY CORP      shares
ALLIANT           Common equity   018804104   57942    812319 SH         DEFINED    1,2,5,6,8,12                812319
 TECHSYSTEMS      shares
 INC
TIMBERLAND CO     Common equity   887100105   54493   1268119 SH         DEFINED    1,2,5,6,8,12               1268119
 -CL A            shares
ABERCROMBIE &     Common equity   002896207  213499   3190299 SH         DEFINED    1,2,5,6,8,10,12,18         3190299
 FITCH  -CL A     shares
ACXIOM CORP       Common equity   005125109   36873   2812747 SH         DEFINED    1,2,5,6,8,12               2812747
                  shares
AFFYMETRIX INC    Common equity   00826T108   12569   1585618 SH         DEFINED    1,2,5,6,8                  1585618
                  shares
HUBBELL INC -CL B Common equity   443510201   95153   1465233 SH         DEFINED    1,2,5,6,8,12               1465233
                  shares
LANCASTER         Common equity   513847103   39409    648015 SH         DEFINED    1,2,5,6,8,12,17             648015
 COLONY CORP      shares
PENTAIR INC       Common equity   709631105  194431   4817411 SH         DEFINED    1,2,5,6,8,10,12,18         4817411
                  shares
TOTAL SYSTEM      Common equity   891906109  118367   6371068 SH         DEFINED    1,2,5,6,8,10,12,18         6371068
 SERVICES INC     shares
KEY ENERGY        Common equity   492914106   63123   3506789 SH         DEFINED    1,2,5,6,8                  3506789
 SERVICES INC     shares
EAGLE             Common equity   26969P108   26502    950992 SH         DEFINED    1,2,5,6,8                   950992
 MATERIALS INC    shares
NORTHEAST         Common equity   664397106  307033   8730019 SH         DEFINED    1,2,5,6,8,10,12,18         8730019
 UTILITIES        shares
PIPER JAFFRAY     Common equity   724078100   13643    473646 SH         DEFINED    1,2,5,6,8                   473646
 COS INC          shares
L-3               Common equity   502424104  342663   3918460 SH         DEFINED    1,2,5,6,8,10,12,18         3918460
 COMMUNICATIONS   shares
 HLDGS INC
WILEY (JOHN) &    Common equity   968223206   61716   1186628 SH         DEFINED    1,2,5,6,8,12               1186628
 SONS  -CL A      shares
ATMEL CORP        Common equity   049513104  158476  11263094 SH         DEFINED    1,2,5,6,8,12              11263094
                  shares
SEI               Common equity   784117103   93910   4171696 SH         DEFINED    1,2,5,6,8,10,12,18         4171696
 INVESTMENTS CO   shares
ADTRAN INC        Common equity   00738A106   86706   2239830 SH         DEFINED    1,2,5,6,8,12               2239830
                  shares
ADVANCE AUTO      Common equity   00751Y106  150443   2572127 SH         DEFINED    1,2,5,6,8,10,12,18         2572127
 PARTS INC        shares
BECKMAN           Common equity   075811109    1055     12636 SH         DEFINED    1,2,8,10                     12636
 COULTER INC      shares
CONSTELLATION     Common equity   21036P108  153193   7357681 SH         DEFINED    1,2,5,6,8,10,12,18         7357681
 BRANDS           shares
CYTEC             Common equity   232820100   70984   1241199 SH         DEFINED    1,2,5,6,8,12               1241199
 INDUSTRIES INC   shares
DOLLAR TREE INC   Common equity   256746108  257173   3860134 SH         DEFINED    1,2,5,6,8,10,12,18         3860134
                  shares
DPL INC           Common equity   233293109   85936   2849591 SH         DEFINED    1,2,5,6,8,12,17            2849591
                  shares
HARTE HANKS INC   Common equity   416196103    7270    895210 SH         DEFINED    1,2,5,6,8                   895210
                  shares
ITT               Common equity   45068B109   54002    690269 SH         DEFINED    1,2,5,6,8,10,12             690269
 EDUCATIONAL      shares
 SERVICES INC
JEFFERIES         Common equity   472319102   80535   3948070 SH         DEFINED    1,2,5,6,8,10,12,18         3948070
 GROUP INC        shares
NVR INC           Common equity   62944T105  141930    195623 SH         DEFINED    1,2,5,6,8,12                195623
                  shares
PACKAGING CORP    Common equity   695156109   68519   2447856 SH         DEFINED    1,2,5,6,8,12               2447856
 OF AMERICA       shares
POPULAR INC       Common equity   733174106   40376  14628586 SH         DEFINED    1,2,5,6,8,12              14628586
                  shares
PRECISION         Common equity   740189105  839104   5096275 SH         DEFINED    1,2,5,6,8,10,12,18         5096275
 CASTPARTS CORP   shares
RAYONIER INC      Real Estate     754907103  157855   2415527 SH         DEFINED    1,2,5,6,8,10,12,17,18      2415527
                  Investment
                  Trust
RENT-A-CENTER     Common equity   76009N100   77736   2543615 SH         DEFINED    1,2,5,6,8,12               2543615
 INC              shares
RYLAND GROUP      Common equity   783764103   50981   3084046 SH         DEFINED    1,2,5,6,8,12               3084046
 INC              shares
SAKS INC          Common equity   79377W108   57385   5137526 SH         DEFINED    1,2,5,6,8,12               5137526
                  shares
SPDR S&P 500      ETF             78462F103 1070082   8108538 SH         DEFINED    1,2,5,10                   8108538
 ETF
UTSTARCOM         Common equity   G9310A106     229    146733 SH         DEFINED    1,5                         146733
 HOLDINGS CORP    shares
PATTERSON-UTI     Common equity   703481101  135818   4296867 SH         DEFINED    1,2,5,6,8,12               4296867
 ENERGY INC       shares
NABI              Common Stock    629519109    7020   1304719 SH         DEFINED    1,2,5,6,8                  1304719
 BIOPHARMACEUTICALS
WMS INDUSTRIES    Common equity   929297109   44722   1455828 SH         DEFINED    1,2,5,6,8                  1455828
 INC              shares
PANERA BREAD CO   Common equity   69840W108  100545    800130 SH         DEFINED    1,2,5,6,8,12                800130
                  shares
LAWSON            Common equity   52078P102   34869   3107584 SH         DEFINED    1,2,5,6,8                  3107584
 SOFTWARE INC     shares
ADOLOR CORP       Common equity   00724X102      69     34882 SH         DEFINED    1                            34882
                  shares
AFFILIATED        Common equity   008252108  133015   1311196 SH         DEFINED    1,2,5,6,8,12               1311196
 MANAGERS GRP     shares
 INC
ANSYS INC         Common equity   03662Q105  123307   2255580 SH         DEFINED    1,2,5,6,8,12               2255580
                  shares
APTARGROUP INC    Common equity   038336103   90254   1724434 SH         DEFINED    1,2,5,6,8,12               1724434
                  shares
AXCELIS           Common equity   054540109    3042   1854814 SH         DEFINED    1,2                        1854814
 TECHNOLOGIES     shares
 INC
BENCHMARK         Common equity   08160H101   26581   1610955 SH         DEFINED    1,2,5,6,8                  1610955
 ELECTRONICS      shares
 INC
BROCADE           Common equity   111621306   42471   6574326 SH         DEFINED    1,2,5,6,8                  6574326
 COMMUNICATIONS   shares
 SYS
BROOKS            Common equity   114340102   16174   1489121 SH         DEFINED    1,2,5,6,8                  1489121
 AUTOMATION INC   shares
CARTER`S INC      Common equity   146229109   33986   1104884 SH         DEFINED    1,2,5,6,8                  1104884
                  shares
CUMULUS MEDIA     Common equity   231082108    1258    359311 SH         DEFINED    1,2                         359311
 INC              shares
EMULEX CORP       Common equity   292475209   17257   2006678 SH         DEFINED    1,2,5,6,8                  2006678
                  shares
ENTEGRIS INC      Common equity   29362U104   31054   3068629 SH         DEFINED    1,2,5,6,8,17               3068629
                  shares
EXTREME           Common Stock    30226D106    5849   1806452 SH         DEFINED    1,2,5,6                    1806452
 NETWORKS INC
FORWARD AIR       Common equity   349853101   23596    698357 SH         DEFINED    1,2,5,6,8                   698357
 CORP             shares
GATX CORP         Common equity   361448103   44063   1187078 SH         DEFINED    1,2,5,6,8,12               1187078
                  shares
GENTEX CORP       Common equity   371901109  108082   3575463 SH         DEFINED    1,2,5,6,8,12               3575463
                  shares
IDEX CORP         Common equity   45167R104   95599   2085068 SH         DEFINED    1,2,5,6,8,12               2085068
                  shares
LTX-CREDENCE      Common Stock    502403207    8089    904967 SH         DEFINED    1,2,6,8                     904967
 CORP
MANHATTAN         Common equity   562750109   19539    567286 SH         DEFINED    1,2,5,6,8                   567286
 ASSOCIATES INC   shares
MICROS SYSTEMS    Common equity   594901100   99780   2007135 SH         DEFINED    1,2,5,6,8,12               2007135
 INC              shares
MYRIAD            Common equity   62855J104   40507   1783537 SH         DEFINED    1,2,5,6,8,10               1783537
 GENETICS INC     shares
NATIONAL          Common equity   636518102   67190   2263212 SH         DEFINED    1,2,5,6,8,12               2263212
 INSTRUMENTS      shares
 CORP
NPS               Common equity   62936P103   28265   2990748 SH         DEFINED    1,2,6,8                    2990748
 PHARMACEUTICALS  shares
 INC
OSHKOSH CORP      Common equity   688239201   65249   2254415 SH         DEFINED    1,2,5,6,8,12               2254415
                  shares
P F CHANGS        Common equity   69333Y108   25078    623312 SH         DEFINED    1,2,5,6,8                   623312
 CHINA BISTRO     shares
 INC
PLEXUS CORP       Common equity   729132100   28667    823625 SH         DEFINED    1,2,5,6,8                   823625
                  shares
ROPER             Common equity   776696106  282880   3395886 SH         DEFINED    1,2,5,6,8,10,12,18         3395886
 INDUSTRIES       shares
 INC/DE
RUBY TUESDAY      Common equity   781182100   15697   1455897 SH         DEFINED    1,2,5,6,8                  1455897
 INC              shares
SPARTECH CORP     Common equity   847220209    4246    697241 SH         DEFINED    1,2,5,8                     697241
                  shares
TEEKAY CORP       Common equity   Y8564W103   17619    570448 SH         DEFINED    1,2,5,6,8                   570448
                  shares
VISHAY            Common equity   928298108   63064   4192646 SH         DEFINED    1,2,5,6,8,12,17,18         4192646
 INTERTECHNOLOGY  shares
 INC
GREATBATCH INC    Common equity   39153L106   13636    508340 SH         DEFINED    1,2,5,6,8                   508340
                  shares
WINTRUST          Common equity   97650W108   37457   1163948 SH         DEFINED    1,2,5,6,8                  1163948
 FINANCIAL CORP   shares
ST JOE CO         Common equity   790148100   19678    943991 SH         DEFINED    1,2,5,6,8,12                943991
                  shares
MACERICH CO       Real Estate     554382101  289607   5413166 SH         DEFINED    1,2,3,5,6,8,10,12,18       5413166
                  Investment
                  Trust
ACADIA REALTY     Real Estate     004239109   28075   1380907 SH         DEFINED    1,2,3,5,6,8                1380907
 TRUST            Investment
                  Trust
BROOKFIELD        Common equity   112900105   11115    576440 SH         DEFINED    1,2,3,8                     576440
 OFFICE PPTYS     shares
 INC
CAMDEN            Real Estate     133131102  155942   2451203 SH         DEFINED    1,2,3,5,6,8,10,12          2451203
 PROPERTY TRUST   Investment
                  Trust
CORP OFFICE       Real Estate     22002T108   82039   2637098 SH         DEFINED    1,2,3,5,6,8,12             2637098
 PPTYS TR INC     Investment
                  Trust
DEVELOPERS        Real Estate     251591103   79451   5634678 SH         DEFINED    1,2,3,5,6,8,12             5634678
 DIVERSIFIED      Investment
 RLTY             Trust
EASTGROUP         Real Estate     277276101   39292    924296 SH         DEFINED    1,2,3,5,6,8                 924296
 PROPERTIES       Investment
                  Trust
ESSEX PROPERTY    Real Estate     297178105  159210   1176813 SH         DEFINED    1,2,3,5,6,8,12             1176813
 TRUST            Investment
                  Trust
HOSPITALITY       Real Estate     44106M102  115839   4776823 SH         DEFINED    1,2,3,5,6,8,12             4776823
 PROPERTIES       Investment
 TRUST            Trust
LASALLE HOTEL     Real Estate     517942108   72863   2766341 SH         DEFINED    1,2,3,5,6,8                2766341
 PROPERTIES       Investment
                  Trust
RAMCO-GERSHENSON  Real Estate     751452202   14722   1188908 SH         DEFINED    1,2,3,5,6,8                1188908
 PROPERTIES       Investment
                  Trust
REGENCY           Real Estate     758849103  151809   3452576 SH         DEFINED    1,2,3,5,6,8,10,12,18       3452576
 CENTERS CORP     Investment
                  Trust
TANGER FACTORY    Real Estate     875465106   73580   2748669 SH         DEFINED    1,2,3,5,6,8                2748669
 OUTLET CTRS      Investment
                  Trust
MECHEL OAO        American        583840103   35569   1488808 SH         DEFINED    1,2,5,6,8,10,18            1488808
                  Depository
                  Receipt
MOBILE            American        607409109   84797   4458514 SH         DEFINED    1,2,5,6,8,10,12,18         4458514
 TELESYSTEMS      Depository
 OJSC             Receipt
LAM RESEARCH      Common equity   512807108  158327   3575625 SH         DEFINED    1,2,5,6,8,10,12,18         3575625
 CORP             shares
RAMBUS INC        Common equity   750917106   32388   2206056 SH         DEFINED    1,2,5,6,8                  2206056
                  shares
METTLER-TOLEDO    Common equity   592688105  140147    830882 SH         DEFINED    1,2,5,6,8,12                830882
 INTL INC         shares
NEENAH PAPER      Common equity   640079109    9492    445938 SH         DEFINED    1,2,6                       445938
 INC              shares
EW SCRIPPS        Common equity   811054402    7101    733959 SH         DEFINED    1,2,6                       733959
 -CL A            shares
FMC               Common equity   30249U101  485207  10832868 SH         DEFINED    1,2,5,6,8,10,12,18        10832868
 TECHNOLOGIES     shares
 INC
AMPHENOL CORP     Common equity   032095101  343559   6363147 SH         DEFINED    1,2,5,6,8,10,12,18         6363147
                  shares
BJ`S WHOLESALE    Common equity   05548J106   74709   1483807 SH         DEFINED    1,2,5,6,8,12               1483807
 CLUB INC         shares
CME GROUP INC     Common equity   12572Q105  730255   2504432 SH         DEFINED    1,2,5,6,8,10,12,18         2504432
                  shares
COMMUNITY         Common equity   203668108   61248   2385238 SH         DEFINED    1,2,5,6,8,12               2385238
 HEALTH           shares
 SYSTEMS INC
COVANCE INC       Common equity   222816100  103444   1742264 SH         DEFINED    1,2,5,6,8,10,12,18         1742264
                  shares
GEN-PROBE INC     Common equity   36866T103   87188   1260807 SH         DEFINED    1,2,5,6,8,12               1260807
                  shares
REGIS CORP/MN     Common equity   758932107   31093   2029733 SH         DEFINED    1,2,5,6,8,12               2029733
                  shares
SL GREEN          Real Estate     78440X101  249078   3005696 SH         DEFINED    1,2,3,5,6,8,10,12          3005696
 REALTY CORP      Investment
                  Trust
STANCORP          Common equity   852891100   49542   1174200 SH         DEFINED    1,2,5,6,8,12               1174200
 FINANCIAL        shares
 GROUP INC
TELEFLEX INC      Common equity   879369106   62951   1031144 SH         DEFINED    1,2,5,6,8,12               1031144
                  shares
URBAN             Common equity   917047102  133684   4748706 SH         DEFINED    1,2,5,6,8,10,12,18         4748706
 OUTFITTERS INC   shares
AGCO CORP         Common equity   001084102  148308   3354859 SH         DEFINED    1,2,5,6,8,10,12,18,19      2686649
                  shares
EDWARDS           Common equity   28176E108  386149   4429325 SH         DEFINED    1,2,5,6,8,10,12,18         4429325
 LIFESCIENCES     shares
 CORP
LUBRIZOL CORP     Common equity   549271104  253005   1884333 SH         DEFINED    1,2,5,6,8,10,12,18         1884333
                  shares
AAON INC          Common equity   000360206    8470    387812 SH         DEFINED    1,2,5,6,8                   387812
                  shares







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AAR CORP          Common equity   000361105   26116    963986 SH         DEFINED    1,2,5,6,8                   963986
                  shares
AMERIS BANCORP    Common equity   03076K108    4366    492185 SH         DEFINED    1,2                         492185
                  shares
A.C. MOORE ARTS & Common equity   00086T103      37     14746 SH         DEFINED    1                            14746
 CRAFTS INC       shares
ABM INDUSTRIES    Common equity   000957100   27718   1187502 SH         DEFINED    1,2,5,6,8                  1187502
 INC              shares
AEP INDUSTRIES    Common equity   001031103    2891     98983 SH         DEFINED    1,2                          98983
 INC              shares
AGL RESOURCES     Common equity   001204106   85972   2111887 SH         DEFINED    1,2,5,6,8,12,17            2111887
 INC              shares
AK STEEL          Common equity   001547108   92379   5861647 SH         DEFINED    1,2,5,6,8,10,12            5861647
 HOLDING CORP     shares
PROLOGIS INC      Real Estate     74340W103  774526  21610572 SH         DEFINED    1,2,3,5,6,8,10,12,18      21610572
                  Investment
                  Trust
AMR CORP/DE       Common equity   001765106   25007   4629781 SH         DEFINED    1,2,5,6,8,12               4629781
                  shares
APAC CUSTOMER     Common Stock    00185E106    3082    578186 SH         DEFINED    1,2,6                       578186
 SERVICES INC
ATMI INC          Common equity   00207R101   15215    744850 SH         DEFINED    1,2,5,6,8                   744850
                  shares
ATP OIL & GAS     Common equity   00208J108   21344   1394072 SH         DEFINED    1,2,5,6,8                  1394072
 CORP             shares
AVI BIOPHARMA     Common equity   002346104    3313   2318596 SH         DEFINED    1,2,5                      2318596
 INC              shares
AVX CORP          Common equity   002444107   10349    678757 SH         DEFINED    1,2,5,6,8                   678757
                  shares
AXT INC           Common Stock    00246W103    4598    541960 SH         DEFINED    1,2                         541960
AZZ INC           Common equity   002474104   12892    281522 SH         DEFINED    1,2,5,6,8                   281522
                  shares
AARON`S INC       Common equity   002535300   72238   2556215 SH         DEFINED    1,2,5,6,8,12               2556215
                  shares
AASTROM           Common equity   00253U305      54     19746 SH         DEFINED    1                            19746
 BIOSCIENCES INC  shares

ABAXIS INC        Common equity   002567105   13061    479346 SH         DEFINED    1,2,6,8                     479346
                  shares
ABIOMED INC       Common Stock    003654100   10617    655640 SH         DEFINED    1,2,5,6,8                   655640
ABRAXAS           Common equity   003830106   13856   3617959 SH         DEFINED    1,2,6                      3617959
 PETROLEUM        shares
 CORP/NV
ACETO CORP        Common equity   004446100    3273    488121 SH         DEFINED    1,2,8                       488121
                  shares
ACTIVE POWER      Common equity   00504W100    2513   1025654 SH         DEFINED    1,2                        1025654
 INC              shares
ACTUATE CORP      Common equity   00508B102    5417    925521 SH         DEFINED    1,2,5,6                     925521
                  shares
ACTUANT CORP      Common equity   00508X203   39109   1457587 SH         DEFINED    1,2,5,6,8                  1457587
 -CL A            shares
INSPERITY INC     Common equity   45778Q107   15044    507964 SH         DEFINED    1,2,5,6,8                   507964
                  shares
AMAG              Common Stock    00163U106    8149    433336 SH         DEFINED    1,2,5,6,8                   433336
 PHARMACEUTICALS
 INC
ADVANCED          Common equity   00754E107      17     11300 SH         DEFINED    1                            11300
 PHOTONIX INC     shares
 -CL A
ADVANCED          American        00756M404    4121    730512 SH         DEFINED    1,2,6,8                     730512
 SEMICON          Depository
 ENGINEERING      Receipt
RENAISSANCE       Common equity   75968L105    3108    247867 SH         DEFINED    1,2,5,8                     247867
 LEARNING INC     shares
DENNYS CORP       Common equity   24869P104    8583   2211712 SH         DEFINED    1,2,5,6,8                  2211712
                  shares
AEGON NV          Similar to      007924103     113     16713 SH         DEFINED    1,2                          16713
                  ADR
                  Certificates
                  representing
                  ordinary shares
ADVANCED          Common equity   007973100   11599    784147 SH         DEFINED    1,2,5,6,8                   784147
 ENERGY INDS      shares
 INC
ADVENT            Common equity   007974108   33528   1190106 SH         DEFINED    1,2,5,6,8,12               1190106
 SOFTWARE INC     shares
AGREE REALTY      Real Estate     008492100    4140    185499 SH         DEFINED    1,2,3,8                     185499
 CORP             Investment
                  Trust
AGRIUM INC        Common equity   008916108     615      7000 SH         DEFINED    8,18                          7000
                  shares
AIR METHODS       Common equity   009128307   18326    245212 SH         DEFINED    1,2,6,8                     245212
 CORP             shares
AIRGAS INC        Common equity   009363102  210484   3005426 SH         DEFINED    1,2,5,6,8,10,12,18         3005426
                  shares
AKAMAI            Common equity   00971T101  214014   6800727 SH         DEFINED    1,2,5,6,8,10,12,18         6800727
 TECHNOLOGIES     shares
 INC
AKORN INC         Common Stock    009728106    8872   1267448 SH         DEFINED    1,2,6                      1267448
ALAMO GROUP INC   Common equity   011311107    4028    170102 SH         DEFINED    1,2                         170102
                  shares
ALASKA AIR GROUP  Common equity   011659109   91502   1336538 SH         DEFINED    1,2,5,6,8,12,17            1336538
 INC              shares
ALASKA            Common equity   01167P101    8001    901685 SH         DEFINED    1,2,5,6,8                   901685
 COMMUNICATIONS   shares
 SYS GP
ALBANY INTL CORP  Common equity   012348108   15911    602805 SH         DEFINED    1,2,5,6,8                   602805
 -CL A            shares
ALBANY MOLECULAR  Common Stock    012423109    2446    508037 SH         DEFINED    1,2                         508037
 RESH INC
ALBEMARLE CORP    Common equity   012653101  149219   2156296 SH         DEFINED    1,2,5,6,8,12               2156296
                  shares
ALCATEL-LUCENT    American        013904305     908    157473 SH         DEFINED    1,5,8,12                    157473
                  Depository
                  Receipt
ALEXANDER &       Common equity   014482103   47718    990866 SH         DEFINED    1,2,5,6,8,12                990866
 BALDWIN INC      shares
ALEXANDER`S INC   Real Estate     014752109   31604     79595 SH         DEFINED    1,2,3,5,6,8                  79595
                  Investment
                  Trust
ALEXANDRIA R E    Real Estate     015271109  168508   2176605 SH         DEFINED    1,2,3,5,6,8,12             2176605
 EQUITIES INC     Investment
                  Trust
ALEXION           Common Stock    015351109  159123   3383387 SH         DEFINED    1,2,5,6,8,10,12,17,18      3383387
 PHARMACEUTICALS
 INC
ALICO INC         Common equity   016230104    1822     71048 SH         DEFINED    1,2,6                        71048
                  shares
ALIGN             Common equity   016255101   29676   1301422 SH         DEFINED    1,2,5,6,8                  1301422
 TECHNOLOGY INC   shares
ALKERMES INC      Common equity   01642T108   52593   2827590 SH         DEFINED    1,2,5,6,8                  2827590
                  shares
ALLEGHANY CORP    Common equity   017175100   28839     86555 SH         DEFINED    1,2,5,6,8                    86555
                  shares
ALLETE INC        Common equity   018522300   31585    769624 SH         DEFINED    1,2,5,6,8                   769624
                  shares
BALLY             Common equity   05874B107   46224   1136311 SH         DEFINED    1,2,5,6,8                  1136311
 TECHNOLOGIES     shares
 INC
ALLIANCE          Limited         01877R108    4007     51730 SH         DEFINED    1                            51730
 RESOURCE         Partnership
 PTNRS  -LP
ALLIANT ENERGY    Common equity   018802108  136906   3367181 SH         DEFINED    1,2,5,6,8,10,12,18         3367181
 CORP             shares
ALLIANCE          Common equity   019205103    2516     82472 SH         DEFINED    1,2                          82472
 FINANCIAL        shares
 CORP/NY
HANOVER           Common equity   410867105   43711   1159207 SH         DEFINED    1,2,5,6,8,12               1159207
 INSURANCE        shares
 GROUP INC
ALLOS             Common Stock    019777101    3228   1509501 SH         DEFINED    1,2,5,6,8                  1509501
 THERAPEUTICS
 INC
ALLSCRIPTS        Common equity   01988P108   89744   4621191 SH         DEFINED    1,2,5,6,8,12               4621191
 HEALTHCARE       shares
 SOLTNS
JARDEN CORP       Common equity   471109108   43808   1269354 SH         DEFINED    1,2,5,6,8                  1269354
                  shares
ALMOST FAMILY     Common Stock    020409108    4604    168091 SH         DEFINED    1,2,6,8                     168091
 INC
EMPIRE RESORTS    Common equity   292052107      24     25700 SH         DEFINED    1                            25700
 INC              shares
SKYWORKS          Common equity   83088M102  103794   4516695 SH         DEFINED    1,2,5,6,8,12               4516695
 SOLUTIONS INC    shares
ALTAIR            Common equity   021373204      20     25102 SH         DEFINED    1,5                          25102
 NANOTECHNOLOGIES shares
 INC
AMCOL             Common equity   02341W103   30117    789234 SH         DEFINED    1,2,5,6,8                   789234
 INTERNATIONAL    shares
 CORP
AMEDISYS INC      Common equity   023436108   18623    699253 SH         DEFINED    1,2,5,6,8                   699253
                  shares
AMERCO            Common equity   023586100   18295    190257 SH         DEFINED    1,2,5,6,8                   190257
                  shares
AMERICA MOVIL     American        02364W105  188469   3497988 SH         DEFINED    1,2,4,5,6,8,10,18          3497988
 SA DE CV         Depository
                  Receipt
US AIRWAYS        Common equity   90341W108   34220   3840796 SH         DEFINED    1,2,5,6,8                  3840796
 GROUP INC        shares
MFA FINANCIAL     Real Estate     55272X102   66916   8323284 SH         DEFINED    1,2,5,6,8                  8323284
 INC              Investment
                  Trust
AMERICAN          Common equity   02503Y103   35557   3581016 SH         DEFINED    1,2,5,6,8                  3581016
 CAPITAL LTD.     shares
AMERICAN          Common equity   025353103    3931    303541 SH         DEFINED    1,2                         303541
 DENTAL           shares
 PARTNERS INC
US ECOLOGY INC    Common equity   91732J102    6303    368799 SH         DEFINED    1,2,5,8                     368799
                  shares
AMERICAN          Common equity   025932104   72538   2032508 SH         DEFINED    1,2,5,6,8,12,17            2032508
 FINANCIAL        shares
 GROUP INC
AMERICAN          Common equity   026375105   34907   1452281 SH         DEFINED    1,2,5,6,8,12               1452281
 GREETINGS        shares
 -CL A
HEALTHWAYS INC    Common equity   422245100   11162    735296 SH         DEFINED    1,2,5,6,8                   735296
                  shares
AMERICAN          Common equity   028591105    8348    107654 SH         DEFINED    1,2,5,6,8,17                107654
 NATIONAL         shares
 INSURANCE
AMERICAN          Common equity   029429107   15978    199719 SH         DEFINED    1,2,5,6,8                   199719
 SCIENCE          shares
 ENGINEERING
AMERICAN          Common equity   029683109    3352    403386 SH         DEFINED    1,2                         403386
 SOFTWARE  -CL    shares
 A
AMERICAN          Common equity   029899101   14784    426542 SH         DEFINED    1,2,5,6,8                   426542
 STATES WATER     shares
 CO
AMERICAN TOWER    Common equity   029912201  778221  14871379 SH         DEFINED    1,2,5,6,8,10,12,18        14871379
 CORP             shares
AMERICAN          Common Stock    030111108    8631    954494 SH         DEFINED    1,2,5,6,8                   954494
 SUPERCONDUCTOR
 CP
LRAD CORP         Common equity   50213V109      41     14897 SH         DEFINED    1                            14897
                  shares
AMERICAN          Common equity   030371108    5200    401047 SH         DEFINED    1,2,8                       401047
 VANGUARD CORP    shares
AMERICAN          Common equity   030506109    3815    219991 SH         DEFINED    1,2,5,8                     219991
 WOODMARK CORP    shares
AMERIGON INC      Common Stock    03070L300    7118    409552 SH         DEFINED    1,2,5,6                     409552
AMERISTAR         Common equity   03070Q101   14572    614508 SH         DEFINED    1,2,5,8                     614508
 CASINOS INC      shares
AMERON            Common equity   030710107   23217    353523 SH         DEFINED    1,2,5,6,8                   353523
 INTERNATIONAL    shares
 CORP
TD AMERITRADE     Common equity   87236Y108   78755   4036499 SH         DEFINED    1,2,5,6,8,10,12,18         4036499
 HOLDING CORP     shares
AMERIGAS          Limited         030975106    3516     78075 SH         DEFINED    1                            78075
 PARTNERS  -LP    Partnership
AMES NATIONAL     Common equity   031001100    2393    131610 SH         DEFINED    1,2                         131610
 CORP             shares
AMETEK INC        Common equity   031100100  208622   4646395 SH         DEFINED    1,2,5,6,8,10,12,18         4646395
                  shares
AMKOR             Common equity   031652100   15446   2504058 SH         DEFINED    1,2,5,6,8                  2504058
 TECHNOLOGY INC   shares
AMPAL AMERICAN    Common equity   032015109      10     10512 SH         DEFINED    1                            10512
 ISRAEL  -CL A    shares
AMPCO-PITTSBURGH  Common equity   032037103    4646    198218 SH         DEFINED    1,2,8                       198218
 CORP             shares
CALIF FIRST       Common equity   130222102     775     50436 SH         DEFINED    1,2,17                       50436
 NATIONAL         shares
 BANCORP
AMSURG CORP       Common equity   03232P405   17409    666198 SH         DEFINED    1,2,5,6,8                   666198
                  shares
AMTECH SYSTEMS    Common Stock    032332504    2515    121808 SH         DEFINED    1,2                         121808
 INC
AMYLIN            Common equity   032346108   42178   3157179 SH         DEFINED    1,2,5,6,8                  3157179
 PHARMACEUTICALS  shares
 INC
ANADIGICS INC     Common Stock    032515108    4246   1323244 SH         DEFINED    1,2,6,8                    1323244
ANALOGIC CORP     Common equity   032657207   15023    285629 SH         DEFINED    1,2,5,6,8                   285629
                  shares
ANAREN INC        Common equity   032744104    8283    389771 SH         DEFINED    1,2,6                       389771
                  shares
ANCHOR BANCORP    Common equity   032839102       8     10919 SH         DEFINED    1                            10919
 INC/WI           shares
ANDERSONS INC     Common equity   034164103   17288    409225 SH         DEFINED    1,2,5,6,8                   409225
                  shares
ANGLOGOLD         American        035128206    9416    223704 SH         DEFINED    1,2,6,8                     223704
 ASHANTI LTD      Depository
                  Receipt
ANIXTER INTL      Common equity   035290105   46360    709488 SH         DEFINED    1,2,5,6,8,17,18             709488
 INC              shares
ANNALY CAPITAL    Real Estate     035710409  253919  14075465 SH         DEFINED    1,2,5,6,8,10,12,18        14075465
 MANAGEMENT       Investment
                  Trust
ANN INC           Common equity   035623107   56564   2167221 SH         DEFINED    1,2,5,6,8,12,17            2167221
                  shares
ANTARES PHARMA    Common equity   036642106    2523   1142434 SH         DEFINED    1,2                        1142434
 INC              shares
ARRIS GROUP INC   Common equity   04269Q100   38104   3282498 SH         DEFINED    1,2,5,6,8                  3282498
                  shares
HACKETT GROUP     Common equity   404609109    3138    616251 SH         DEFINED    1,2,5                       616251
 INC              shares
AGENUS INC        Common Stock    00847G101      36     45866 SH         DEFINED    1                            45866
ANWORTH MTG       Real Estate     037347101   22777   3032730 SH         DEFINED    1,2,5,6,8                  3032730
 ASSET CORP       Investment
                  Trust
APCO OIL AND      Common equity   G0471F109   14487    166652 SH         DEFINED    1,2,6                       166652
 GAS INTL INC     shares
APOGEE            Common equity   037598109   15525   1212077 SH         DEFINED    1,2,5,8                    1212077
 ENTERPRISES      shares
 INC
APPLIED           Common equity   03820C105   35285    990925 SH         DEFINED    1,2,5,6,8                   990925
 INDUSTRIAL       shares
 TECH INC
ARCH CHEMICALS    Common equity   03937R102   17768    515916 SH         DEFINED    1,2,5,6,8                   515916
 INC              shares
ARCH COAL INC     Common equity   039380100  182898   6860266 SH         DEFINED    1,2,5,6,8,10,12,18         6860266
                  shares
ARCTIC CAT INC    Common Stock    039670104    3210    238972 SH         DEFINED    1,2                         238972
ARDEN GROUP       Common equity   039762109    2429     26417 SH         DEFINED    1,2,17                       26417
 INC  -CL A       shares
ARENA             Common Stock    040047102    3254   2390361 SH         DEFINED    1,2,5,6,8                  2390361
 PHARMACEUTICALS
 INC
ARIAD             Common equity   04033A100   53709   4740477 SH         DEFINED    1,2,6,8                    4740477
 PHARMACEUTICALS  shares
 INC
ARIBA INC         Common Stock    04033V203   35473   1029095 SH         DEFINED    1,2,5,6,8                  1029095
CARDIUM           Common equity   141916106      11     38600 SH         DEFINED    1                            38600
 THERAPEUTICS     shares
 INC
ARKANSAS BEST     Common equity   040790107   14316    603152 SH         DEFINED    1,2,5,6,8                   603152
 CORP             shares
ARQULE INC        Common equity   04269E107    7217   1153879 SH         DEFINED    1,2,6,8                    1153879
                  shares
ARRAY             Common equity   04269X105    2567   1145534 SH         DEFINED    1,2                        1145534
 BIOPHARMA INC    shares
ARROW             Common equity   042735100  155819   3754505 SH         DEFINED    1,2,5,6,8,10,12,18         3754505
 ELECTRONICS      shares
 INC
ARROW             Common equity   042744102    5054    206553 SH         DEFINED    1,2,5,8                     206553
 FINANCIAL CORP   shares
ARTESIAN          Common Stock    043113208    2240    124373 SH         DEFINED    1,2,5                       124373
 RESOURCES
 -CL A
ARTHROCARE CORP   Common Stock    043136100   19473    581721 SH         DEFINED    1,2,6,8                     581721
MERITOR INC       Common equity   59001K100   30435   1897399 SH         DEFINED    1,2,5,6,8                  1897399
                  shares
ASIAINFO-LINKAGE  Common Stock    04518A104    1116     67338 SH         DEFINED    1,2,5,6                      67338
 INC
ASPEN             Common Stock    045327103   28303   1647448 SH         DEFINED    1,2,6                      1647448
 TECHNOLOGY INC
ASSOCIATED        Common equity   045487105   76757   5521951 SH         DEFINED    1,2,5,6,8,10,12            5521951
 BANC-CORP        shares
ASSOCIATED        Real Estate     045604105   16391   1008592 SH         DEFINED    1,2,3,5,6,8                1008592
 ESTATES RLTY     Investment
 CORP             Trust
ASTEC             Common equity   046224101   16988    459418 SH         DEFINED    1,2,5,6,8                   459418
 INDUSTRIES INC   shares
ASTORIA           Common equity   046265104   39512   3089443 SH         DEFINED    1,2,5,6,8,12               3089443
 FINANCIAL CORP   shares
ASTRAZENECA PLC   American        046353108    3480     69502 SH         DEFINED    1                            69502
                  Depository
                  Receipt
ASTRONICS CORP    Common Stock    046433108    5128    166489 SH         DEFINED    1,2                         166489
ATLANTIC          Common equity   049079205    8395    218710 SH         DEFINED    1,2,5,6,8,17                218710
 TELE-NETWORK     shares
 INC
ATLAS PIPELINE    Limited         049392103    3646    110621 SH         DEFINED    1                           110621
 PARTNER LP       Partnership
ATMOS ENERGY      Common equity   049560105  149957   4509913 SH         DEFINED    1,2,5,6,8,12,17            4509913
 CORP             shares
ATRION CORP       Common equity   049904105    6822     34485 SH         DEFINED    1,2,6,17                     34485
                  shares
ATWOOD OCEANICS   Common equity   050095108   72841   1650643 SH         DEFINED    1,2,5,6,8,12               1650643
                  shares
AUDIOVOX CORP     Common Stock    050757103    2967    392591 SH         DEFINED    1,2                         392591
 -CL A
AUTOBYTEL INC     Common equity   05275N106      24     21454 SH         DEFINED    1                            21454
                  shares
AUTOLIV INC       Common equity   052800109  114449   1458842 SH         DEFINED    1,2,5,6,8,10,12,18         1458842
                  shares
SCIENTIFIC        Common equity   80874P109   22032   2130764 SH         DEFINED    1,2,5,6,8                  2130764
 GAMES CORP       shares
AVANIR            Common equity   05348P401   15046   4477231 SH         DEFINED    1,2,6                      4477231
 PHARMACEUTICALS  shares
 INC
CELLDEX           Common equity   15117B103    2303    649115 SH         DEFINED    1,2                         649115
 THERAPEUTICS     shares
 INC
AVATAR            Common equity   053494100    3177    208508 SH         DEFINED    1,2,5                       208508
 HOLDINGS INC     shares
AVID              Common equity   05367P100   12331    654494 SH         DEFINED    1,2,5,6,8                   654494
 TECHNOLOGY INC   shares
AVISTA CORP       Common equity   05379B107   38235   1488298 SH         DEFINED    1,2,5,6,8                  1488298
                  shares
BCE INC           Common Stock    05534B760     343      8746 SH         DEFINED    2,8                           8746
BOK FINANCIAL     Common equity   05561Q201   27466    501525 SH         DEFINED    1,2,5,6,8                   501525
 CORP             shares
BP PLC            American        055622104 1743869  39373873 SH         DEFINED    1,2                       39373873
                  Depository
                  Receipt
BRE PROPERTIES    Real Estate     05564E106  131874   2643828 SH         DEFINED    1,2,3,5,6,8,12             2643828
 INC              Investment
                  Trust
BADGER METER      Common equity   056525108   12155    328616 SH         DEFINED    1,2,5,6,8                   328616
 INC              shares
BAKER             Common equity   057149106    3351    158718 SH         DEFINED    1,2,8                       158718
 (MICHAEL) CORP   shares
BALCHEM CORP      Common equity   057665200   26271    600087 SH         DEFINED    1,2,5,6,8                   600087
 -CL B            shares
BALDWIN &         Common equity   057755209    4371    188775 SH         DEFINED    1,2,5                       188775
 LYONS  -CL B     shares
DIAMOND HILL      Common Stock    25264R207    3701     45579 SH         DEFINED    1,2                          45579
 INVESTMENT GRP
BANCFIRST         Common equity   05945F103    5315    137704 SH         DEFINED    1,2,5,8,17                  137704
 CORP/OK          shares
BRADESCO BANCO    American        059460303  175063   8543868 SH         DEFINED    1,2,4,5,6,8,10,18          8543868
                  Depository
                  Receipt
BANCO BILBAO      American        05946K101    1307    111457 SH         DEFINED    1,5,8,10,12                 111457
 VIZCAYA          Depository
 ARGENTA          Receipt
BANCO             American        05964H105    6799    590852 SH         DEFINED    1,2,5,8,12                  590852
 SANTANDER SA     Depository
                  Receipt
BANCO             American        05965X109   24358    259648 SH         DEFINED    1,2,5,6,8,10                259648
 SANTANDER-CHILE  Depository
                  Receipt
BANCOLOMBIA SA    American        05968L102   32285    483783 SH         DEFINED    1,2,5,6,8,10,18             483783
                  Depository
                  Receipt
BANCORP RHODE     Common equity   059690107    3056     67421 SH         DEFINED    1,2,17                       67421
 ISLAND INC       shares
BANCORPSOUTH      Common equity   059692103   39253   3163296 SH         DEFINED    1,2,5,6,8,12               3163296
 INC              shares
BANK OF           Common Stock    062401104      11     11559 SH         DEFINED    1                            11559
 GRANITE CORP
HAMPTON ROADS     Common equity   409321502    1365    137664 SH         DEFINED    1,2                         137664
 BANKSHARES INC   shares
BANK KY           Common Stock    062896105    1606     72100 SH         DEFINED    1,2                          72100
 FINANCIAL CORP
BANK OF MARIN     Common equity   063425102    3433     97023 SH         DEFINED    1,2,6                        97023
 BANCORP          shares
BANK MUTUAL       Common equity   063750103    3470    946169 SH         DEFINED    1,2,5,8                     946169
 CORP             shares
BANK OF THE       Common equity   063904106   15610    299965 SH         DEFINED    1,2,5,6,8                   299965
 OZARKS INC       shares
SIERRA            Common equity   82620P102    1989    175703 SH         DEFINED    1,2                         175703
 BANCORP/CA       shares
MITSUBISHI UFJ    American        606822104     122     25370 SH         DEFINED    1,2                          25370
 FINANCIAL GRP    Depository
                  Receipt
BANKATLANTIC      Common equity   065908600      33     34337 SH         DEFINED    1                            34337
 BANCORP  -CL A   shares
BARNES GROUP      Common equity   067806109   26508   1068371 SH         DEFINED    1,2,5,6,8                  1068371
 INC              shares
BARRICK GOLD      Common equity   067901108    5037    111243 SH         DEFINED    1,2,5,8,18                  111243
 CORP             shares
BARRETT           Common equity   068463108    1778    124152 SH         DEFINED    1,2                         124152
 BUSINESS SVCS    shares
 INC
BARRY (R G)       Common equity   068798107    1388    122914 SH         DEFINED    1,2                         122914
 CORP             shares
BASSETT           Common equity   070203104      87     11037 SH         DEFINED    1,2                          11037
 FURNITURE INDS   shares
BE AEROSPACE      Common equity   073302101   99604   2440548 SH         DEFINED    1,2,5,6,8,12               2440548
 INC              shares
BEAZER HOMES      Common equity   07556Q105    4944   1458401 SH         DEFINED    1,2,6,8                    1458401
 USA INC          shares
BEBE STORES INC   Common equity   075571109    4019    657588 SH         DEFINED    1,2,5,6                     657588
                  shares
BEL FUSE INC      Common equity   077347300    5504    253757 SH         DEFINED    1,2                         253757
                  shares
BELO CORP         Common equity   080555105   15107   2006462 SH         DEFINED    1,2,5,6,8                  2006462
 -SER A COM       shares
BENIHANA INC      Common equity   082047200    1904    181701 SH         DEFINED    1,2                         181701
 -CL A            shares
HARVEST           Common equity   41754V103   15440   1399872 SH         DEFINED    1,2,6                      1399872
 NATURAL          shares
 RESOURCES







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BERKLEY (W R)     Common equity   084423102  114431   3527398 SH         DEFINED    1,2,5,6,8,10,12,18         3527398
 CORP             shares
BERKSHIRE         Common equity   084670108  136076      1172 SH         DEFINED    1,5,6,8,12                    1172
 HATHAWAY INC     shares
 DEL
BERKSHIRE         Common equity   084670702 5096922  65860225 SH         DEFINED    1,2,5,6,8,10,12,18        65860225
 HATHAWAY         shares
BERKSHIRE         Common equity   084680107    7699    343896 SH         DEFINED    1,2,5,8                     343896
 HILLS BANCORP    shares
 INC
BERRY             Common equity   085789105   63177   1189118 SH         DEFINED    1,2,5,6,8,17               1185698          3420
 PETROLEUM        shares
 -CL A
PETROHAWK         Common equity   716495106  124491   5046645 SH         DEFINED    1,2,5,6,8,10,12,18         5046645
 ENERGY CORP      shares
CAMAC ENERGY      Common equity   131745101     952    715461 SH         DEFINED    1,2                         715461
 INC              shares
BIO-RAD           Common equity   090572207   61310    513647 SH         DEFINED    1,2,5,6,8,12                513647
 LABORATORIES     shares
 INC
SAVIENT           Common equity   80517Q100   31308   4180018 SH         DEFINED    1,2,5,6,8                  4180018
 PHARMACEUTICALS  shares
 INC
BIO REFERENCE     Common equity   09057G602   10975    525254 SH         DEFINED    1,2,5,6,8                   525254
 LABS             shares
BIOANALYTICAL     Common Stock    09058M103      22     11400 SH         DEFINED    1                            11400
 SYSTEMS INC
BIOCRYST          Common Stock    09058V103    1976    517242 SH         DEFINED    1,2,5                       517242
 PHARMACEUTICALS
 INC
ADVENTRX          Common equity   00764X202      34     11495 SH         DEFINED    1                            11495
 PHARMACEUTICALS  shares
 INC
BIOMARIN          Common Stock    09061G101   57296   2105682 SH         DEFINED    1,2,5,6,8                  2105682
 PHARMACEUTICAL
 INC
BIOTIME INC       Common equity   09066L105    2076    404767 SH         DEFINED    1,2,6                       404767
                  shares
VALEANT           Common equity   91911K102    4418     85048 SH         DEFINED    1,2,5,6                      85048
 PHARMACEUTICALS  shares
 INTL
SYNUTRA           Common equity   87164C102    3125    317884 SH         DEFINED    1,2                         317884
 INTERNATIONAL    shares
 INC
BIOLASE           Common Stock    090911108    2713    527946 SH         DEFINED    1,2                         527946
 TECHNOLOGY INC
SYNOVIS LIFE      Common Stock    87162G105    3837    220487 SH         DEFINED    1,2                         220487
 TECH INC
BIOSPECIFICS      Common Stock    090931106    1431     63891 SH         DEFINED    1,2,6                        63891
 TECHNOLOGIES
 CP
ONCOTHYREON INC   Common equity   682324108    5920    644400 SH         DEFINED    1,2,6                       644400
                  shares
AUTHENTIDATE      Common equity   052666104      29     23900 SH         DEFINED    1                            23900
 HOLDING CORP     shares
BLACK BOX CORP    Common equity   091826107   14545    465187 SH         DEFINED    1,2,5,6,8                   465187
                  shares
BLACK HILLS       Common equity   092113109   91893   3053992 SH         DEFINED    1,2,5,6,8,12               3053992
 CORP             shares
BLACKROCK INC     Common equity   09247X101  670502   3495648 SH         DEFINED    1,2,5,6,8,10,12,18         3495648
                  shares
BLOUNT INTL INC   Common equity   095180105   16661    953824 SH         DEFINED    1,2,5,6,8                   953824
                  shares
BLUEGREEN CORP    Common equity   096231105      59     19969 SH         DEFINED    1                            19969
                  shares
BLYTH INC         Common equity   09643P207    7646    151907 SH         DEFINED    1,2,5,6,8                   151907
                  shares
BOB EVANS FARMS   Common equity   096761101   38881   1112118 SH         DEFINED    1,2,5,6,8,12,17            1112118
                  shares
BON-TON STORES    Common equity   09776J101    2112    216859 SH         DEFINED    1,2                         216859
 INC              shares
OCLARO INC        Common Stock    67555N206    6820   1015423 SH         DEFINED    1,2,6,8                    1015423
BORGWARNER INC    Common equity   099724106  258679   3201845 SH         DEFINED    1,2,5,6,8,10,12,18         3201845
                  shares
BOSTON BEER       Common equity   100557107   18510    206527 SH         DEFINED    1,2,6,8                     206527
 INC  -CL A       shares
BOSTON PRIVATE    Common equity   101119105   23986   3645955 SH         DEFINED    1,2,5,6,8                  3645955
 FINL HOLDINGS    shares
BOTTOMLINE        Common Stock    101388106   17301    700214 SH         DEFINED    1,2,6,8                     700214
 TECHNOLOGIES
 INC
BOYD GAMING       Common equity   103304101   10512   1208015 SH         DEFINED    1,2,5,6,8                  1208015
 CORP             shares
BRADY CORP        Common equity   104674106   39500   1231920 SH         DEFINED    1,2,5,6,8                  1231920
                  shares
BRANDYWINE        Real Estate     105368203   41666   3595097 SH         DEFINED    1,2,3,5,6,8                3595097
 REALTY TRUST     Investment
                  Trust
BRIDGE BANCORP    Common equity   108035106    2342    110027 SH         DEFINED    1,2                         110027
 INC              shares
BRIGGS &          Common equity   109043109   24166   1216559 SH         DEFINED    1,2,5,6,8                  1216559
 STRATTON         shares
BRIGHAM           Common equity   109178103   52909   1767709 SH         DEFINED    1,2,5,6,8                  1767709
 EXPLORATION CO   shares
BRIGHTPOINT INC   Common equity   109473405   15166   1870440 SH         DEFINED    1,2,5,6,8                  1870440
                  shares
BAT-BRITISH       American        110448107     500      5690 SH         DEFINED    1                             5690
 AMER TOBACCO     Depository
 PLC              Receipt
CINCINNATI        Common equity   171871106   16748   5045388 SH         DEFINED    1,2,5,6,8                  5045388
 BELL INC         shares
BROOKLINE         Common equity   11373M107   21030   2268258 SH         DEFINED    1,2,5,6,8,17               2251128         17130
 BANCORP INC      shares
BROWN & BROWN     Common equity   115236101   74501   2903214 SH         DEFINED    1,2,5,6,8,12               2903214
 INC              shares
BROWN FORMAN      Common equity   115637100    1167     16213 SH         DEFINED    1,2                          16213
 CORP             shares
BROWN SHOE CO     Common equity   115736100   16795   1576943 SH         DEFINED    1,2,5,6,8                  1576943
 INC              shares
BRUKER CORP       Common equity   116794108   16343    802757 SH         DEFINED    1,2,5,6,8                   802757
                  shares
MATERION CORP     Common equity   576690101   26940    728674 SH         DEFINED    1,2,5,6,8                   728674
                  shares
BRYN MAWR BANK    Common equity   117665109    3346    165276 SH         DEFINED    1,2                         165276
 CORP             shares
BUCKEYE           Limited         118230101    7309    113211 SH         DEFINED    1                           113211
 PARTNERS LP      Partnership
BUCKEYE           Common equity   118255108   26227    972077 SH         DEFINED    1,2,5,6,8                   972077
 TECHNOLOGIES     shares
 INC
BUCKLE INC        Common equity   118440106   30068    704119 SH         DEFINED    1,2,5,6,8                   704119
                  shares
ADVANCED          Common equity   00752H102      45     45688 SH         DEFINED    1                            45688
 BATTERY TECH     shares
 INC
INCONTACT INC     Common equity   45336E109    1849    389400 SH         DEFINED    1,2                         389400
                  shares
CBL &             Real Estate     124830100   88831   4899850 SH         DEFINED    1,2,3,5,6,8,17,18          4899850
 ASSOCIATES       Investment
 PPTYS INC        Trust
CDI CORP          Common equity   125071100    4043    303984 SH         DEFINED    1,2,5                       303984
                  shares
CEC               Common equity   125137109   20659    515093 SH         DEFINED    1,2,5,6,8                   515093
 ENTERTAINMENT    shares
 INC
CH ENERGY         Common equity   12541M102   20696    388579 SH         DEFINED    1,2,5,6,8,17                388579
 GROUP INC        shares
C H ROBINSON      Common equity   12541W209  460084   5835640 SH         DEFINED    1,2,5,6,8,10,12,18         5835640
 WORLDWIDE INC    shares
CLECO CORP        Common equity   12561W105   74327   2132780 SH         DEFINED    1,2,5,6,8,12               2132780
                  shares
CPI CORP          Common equity   125902106     296     22543 SH         DEFINED    1                            22543
                  shares
CENTRAL           Common equity   154760409    2526    180481 SH         DEFINED    1,2,6                       180481
 PACIFIC          shares
 FINANCIAL CP
CSS INDUSTRIES    Common equity   125906107    3750    179203 SH         DEFINED    1,2                         179203
 INC              shares
CNA FINANCIAL     Common equity   126117100   15029    517478 SH         DEFINED    1,2,5,6,8,12                517478
 CORP             shares
CNB FINANCIAL     Common equity   126128107    2747    197962 SH         DEFINED    1,2                         197962
 CORP/PA          shares
CNOOC LTD         American        126132109    2177      9231 SH         DEFINED    1,6                           9231
                  Depository
                  Receipt
CSG SYSTEMS       Common equity   126349109   18559   1004227 SH         DEFINED    1,2,5,6,8                  1004227
 INTL INC         shares
CTS CORP          Common equity   126501105    8023    829667 SH         DEFINED    1,2,5,6,8                   829667
                  shares
CVB FINANCIAL     Common equity   126600105   31601   3416187 SH         DEFINED    1,2,5,6,8                  3416187
 CORP             shares
BELDEN INC        Common equity   077454106   38231   1096664 SH         DEFINED    1,2,5,6,8                  1096664
                  shares
BLUE COAT         Common equity   09534T508   20082    918620 SH         DEFINED    1,2,5,6,8                   918620
 SYSTEMS INC      shares
CABOT CORP        Common equity   127055101  182846   4586110 SH         DEFINED    1,2,5,6,8,12               4586110
                  shares
CABOT OIL &       Common equity   127097103  319547   4819105 SH         DEFINED    1,2,5,6,8,10,12,18         4819105
 GAS CORP         shares
CABOT             Common equity   12709P103   27599    593826 SH         DEFINED    1,2,5,6,8                   593826
 MICROELECTRONICS shares
 CORP
CACHE INC         Common equity   127150308      60     12440 SH         DEFINED    1                            12440
                  shares
CADIZ INC         Common equity   127537207    3010    277053 SH         DEFINED    1,2,5                       277053
                  shares
HELIX ENERGY      Common equity   42330P107   75472   4557693 SH         DEFINED    1,2,5,6,8,12               4557693
 SOLUTIONS        shares
 GROUP
CAL-MAINE         Common Stock    128030202   10153    317532 SH         DEFINED    1,2,5,8,17                  317532
 FOODS INC
CALGON CARBON     Common equity   129603106   20519   1206925 SH         DEFINED    1,2,5,6,8                  1206925
 CORP             shares
CALAMP CORP       Common equity   128126109      51     16616 SH         DEFINED    1                            16616
                  shares
CENTER            Common equity   15146E102    4702    740644 SH         DEFINED    1,2                         740644
 FINANCIAL        shares
 CORP/CA
CALIFORNIA        Common equity   13054D109    7677    415667 SH         DEFINED    1,2,5,6,8                   415667
 PIZZA KITCHEN    shares
 INC
CALIFORNIA        Common equity   130788102   16378    875412 SH         DEFINED    1,2,5,6,8                   875412
 WATER SERVICE    shares
 GP
CALIPER LIFE      Common Stock    130872104    6696    825247 SH         DEFINED    1,2                         825247
 SCIENCES INC
CALLAWAY GOLF     Common equity   131193104    8351   1342453 SH         DEFINED    1,2,5,8                    1342453
 CO               shares
CALLON            Common equity   13123X102    4982    709946 SH         DEFINED    1,2                         709946
 PETROLEUM        shares
 CO/DE
CAMBREX CORP      Common equity   132011107    2829    613229 SH         DEFINED    1,2                         613229
                  shares
CAMDEN            Common equity   133034108    5039    153469 SH         DEFINED    1,2,5,8                     153469
 NATIONAL CORP    shares
CANADIAN          Common equity   136375102     224      2800 SH         DEFINED    1,8                           2800
 NATIONAL         shares
 RAILWAY CO
ICONIX BRAND      Common equity   451055107   43056   1779327 SH         DEFINED    1,2,5,6,8                  1779327
 GROUP INC        shares
CANON INC         American        138006309     281      5922 SH         DEFINED    1,2                           5922
                  Depository
                  Receipt
CANTEL MEDICAL    Common equity   138098108   10705    397879 SH         DEFINED    1,2,6,8                     397879
 CORP             shares
CAPITAL CITY      Common equity   139674105    2287    223204 SH         DEFINED    1,2,8                       223204
 BK GROUP INC     shares
CAPITAL BANK      Common equity   139793103     473    135800 SH         DEFINED    1,2                         135800
 CORP/NC          shares
CAPITAL SENIOR    Common equity   140475104    4409    474658 SH         DEFINED    1,2                         474658
 LIVING CORP      shares
CAPITAL           Common Stock    140501107    4912     53271 SH         DEFINED    1,2,8                        53271
 SOUTHWEST CORP
CAPITAL TRUST     Real Estate     14052H506      61     15933 SH         DEFINED    1                            15933
 INC/MD           Investment
                  Trust
CAPITOL           Common equity   14057J101   24929   2119762 SH         DEFINED    1,2,5,6,8                  2119762
 FEDERAL FINL     shares
 INC
CAPSTONE          Common equity   14067D102    6710   4386004 SH         DEFINED    1,2,6,8                    4386004
 TURBINE CORP     shares
CAPSTEAD          Real Estate     14067E506   24604   1835915 SH         DEFINED    1,2,5,6,8                  1835915
 MORTGAGE CORP    Investment
                  Trust
CARBO CERAMICS    Common equity   140781105   87014    533995 SH         DEFINED    1,2,5,6,8,12                533995
 INC              shares
CARDINAL          Common equity   14149F109    6095    556714 SH         DEFINED    1,2,6,8                     556714
 FINANCIAL CORP   shares
CARLISLE COS      Common equity   142339100   69819   1418189 SH         DEFINED    1,2,5,6,8,12               1418189
 INC              shares
CARPENTER         Common equity   144285103   97668   1693219 SH         DEFINED    1,2,5,6,8,12               1693219
 TECHNOLOGY       shares
 CORP
CARRIZO OIL &     Common equity   144577103   42895   1027434 SH         DEFINED    1,2,5,6,8                  1027434
 GAS INC          shares
CASCADE BANCORP   Common equity   147154207     569     56442 SH         DEFINED    1,2                          56442
                  shares
CASCADE CORP      Common equity   147195101    9518    200092 SH         DEFINED    1,2,5,8                     200092
                  shares
CASELLA WASTE     Common equity   147448104    2541    416601 SH         DEFINED    1,2                         416601
 SYS INC  -CL A   shares
CASEYS GENERAL    Common equity   147528103   46668   1060678 SH         DEFINED    1,2,5,6,8,17               1060678
 STORES INC       shares
CASH AMERICA      Common equity   14754D100   36927    638038 SH         DEFINED    1,2,5,6,8,17,18             638038
 INTL INC         shares
CASS              Common equity   14808P109    6117    162019 SH         DEFINED    1,2,6,8,17                  162019
 INFORMATION      shares
 SYSTEMS INC
CASTLE (A M) &    Common equity   148411101    5766    347122 SH         DEFINED    1,2,5                       347122
 CO               shares
CATHAY GENERAL    Common equity   149150104   57226   3491635 SH         DEFINED    1,2,5,6,8,12               3491635
 BANCORP          shares
CATO CORP  -CL    Common equity   149205106   26854    932385 SH         DEFINED    1,2,5,6,8,17                926485          5900
 A                shares
JAGUAR MINING     Common Stock    47009M103    7598   1589507 SH         DEFINED    1,2,6                      1589507
 INC COMMON
 STOCK CAD
CEDAR SHOPPING    Real Estate     150602209    9424   1829505 SH         DEFINED    1,2,3,5,8                  1829505
 CENTERS INC      Investment
                  Trust
CEL-SCI CORP      Common equity   150837409      53    104456 SH         DEFINED    1                           104456
                  shares
CELADON GROUP     Common Stock    150838100    8666    620746 SH         DEFINED    1,2,6,8                     620746
 INC
CELL              Common Stock    150934602    4124   2617856 SH         DEFINED    1,2,5,6,8                  2617856
 THERAPEUTICS
 INC
CELESTICA INC     Common equity   15101Q108     225     25599 SH         DEFINED    1,2                          25599
                  shares
CELGENE CORP      Common equity   151020104 1042731  17286855 SH         DEFINED    1,2,5,6,8,10,12,18        17286855
                  shares
CEMEX SAB DE CV   American        151290889    3621    420982 SH         DEFINED    1,6,8,10                    420982
                  Depository
                  Receipt
CENTER BANCORP    Common equity   151408101    1449    138892 SH         DEFINED    1,2                         138892
 INC              shares
CENTERSTATE       Common equity   15201P109    3068    443368 SH         DEFINED    1,2,6                       443368
 BANKS INC        shares
CENTRAIS          American        15234Q108    1951    113840 SH         DEFINED    1,2,6                       113840
 ELETRICAS        Depository
 BRASILEIR        Receipt
ELETROBRAS-CENTR  Depository      15234Q207    5646    418321 SH         DEFINED    1,2,5,6,10                  418321
 ELETR BRAS       Receipt
CENTRAL           Common equity   153435102   16162   1443107 SH         DEFINED    1,2,5,6,8                  1443107
 EUROPEAN DIST    shares
 CORP
CENTRAL           Common equity   155771108   10423    288354 SH         DEFINED    1,2,5,8                     288354
 VERMONT PUB      shares
 SERV
CENTURY           Common equity   156431108   48741   3114584 SH         DEFINED    1,2,5,6,8                  3114584
 ALUMINUM CO      shares
CENTURY           Common equity   156432106    1768     66833 SH         DEFINED    1,2                          66833
 BANCORP INC/MA   shares
CBIZ INC          Common equity   124805102    6796    923638 SH         DEFINED    1,2,5,6,8                   923638
                  shares
CENTURY           Common equity   156492100      29     10400 SH         DEFINED    1                            10400
 CASINOS INC      shares
CEPHEID INC       Common Stock    15670R107   62510   1804520 SH         DEFINED    1,2,5,6,8                  1804520
CERADYNE INC      Common equity   156710105   25788    661350 SH         DEFINED    1,2,5,6,8                   661350
                  shares
ARBITRON INC      Common equity   03875Q108   26307    636471 SH         DEFINED    1,2,5,6,8                   636471
                  shares
CERNER CORP       Common equity   156782104  321456   5260183 SH         DEFINED    1,2,5,6,8,10,12,18         5260183
                  shares
COCA-COLA         Common equity   19122T109  396075  13573392 SH         DEFINED    1,2,5,6,8,10,12,18        13573392
 ENTERPRISES      shares
 INC
CERUS CORP        Common equity   157085101    2091    697374 SH         DEFINED    1,2                         697374
                  shares
SILVER WHEATON    Common Stock    828336107     228      6900 SH         DEFINED    18                            6900
 CORP
CHARLES &         Common equity   159765106      27     10104 SH         DEFINED    1                            10104
 COLVARD LTD      shares
CRA               Common equity   12618T105    6838    252437 SH         DEFINED    1,2,6,8                     252437
 INTERNATIONAL    shares
 INC
CHARMING          Common equity   161133103   14037   3374213 SH         DEFINED    1,2,5,6,8                  3374213
 SHOPPES INC      shares
CHASE CORP        Common equity   16150R104    1348     80560 SH         DEFINED    1,2,17                       70760          9800
                  shares
CHECKPOINT        Common equity   162825103   16212    906605 SH         DEFINED    1,2,5,6,8                   906605
 SYSTEMS INC      shares
CHEESECAKE        Common equity   163072101   61731   1967765 SH         DEFINED    1,2,5,6,8,12               1967765
 FACTORY INC      shares
CHEMED CORP       Common equity   16359R103   34341    524164 SH         DEFINED    1,2,5,6,8                   524164
                  shares
CHEMICAL          Common equity   163731102    9405    501150 SH         DEFINED    1,2,5,8                     501150
 FINANCIAL CORP   shares
CHENIERE          Common equity   16411R208   10698   1167919 SH         DEFINED    1,2,6,8                    1167919
 ENERGY INC       shares
CHEROKEE INC/DE   Common equity   16444H102    2525    147235 SH         DEFINED    1,2,5                       147235
                  shares
CHESAPEAKE        Common equity   165303108    8143    203499 SH         DEFINED    1,2,5,6,8,17                203499
 UTILITIES CORP   shares
BJ`S              Common equity   09180C106   24719    472078 SH         DEFINED    1,2,5,6,8                   472078
 RESTAURANTS      shares
 INC
CHILDRENS         Common equity   168905107   32877    738979 SH         DEFINED    1,2,5,6,8                   738979
 PLACE RETAIL     shares
 STRS
CHINA MOBILE      American        16941M109    1961     41907 SH         DEFINED    1,6                          41907
 LTD              Depository
                  Receipt
CHINA             American        16941R108    1022     10084 SH         DEFINED    1,6                          10084
 PETROLEUM &      Depository
 CHEM CORP        Receipt
CHINA UNICOM      American        16945R104     639     31585 SH         DEFINED    1,6                          31585
 (HONG KONG)      Depository
 LTD              Receipt
CHOICE HOTELS     Common equity   169905106   10905    326986 SH         DEFINED    1,2,5,6,8                   326986
 INTL INC         shares
CHRISTOPHER &     Common equity   171046105    4648    808254 SH         DEFINED    1,2,5,8,17                  808254
 BANKS CORP       shares
CHURCH &          Common equity   171340102  164249   4051425 SH         DEFINED    1,2,5,6,8,10,12,18         4051425
 DWIGHT INC       shares
CHURCHILL         Common equity   171484108    9980    221329 SH         DEFINED    1,2,5,8                     221329
 DOWNS INC        shares
CIBER INC         Common equity   17163B102    8471   1526541 SH         DEFINED    1,2,5,6,8                  1526541
                  shares
CIRCOR INTL INC   Common equity   17273K109   15653    365442 SH         DEFINED    1,2,5,6,8                   365442
                  shares
CIRRUS LOGIC      Common equity   172755100   25249   1588058 SH         DEFINED    1,2,5,6,8                  1588058
 INC              shares
READING INTL      Common Stock    755408101      64     14100 SH         DEFINED    1                            14100
 INC  -CL A
CITIZENS &        Common equity   172922106    3141    208289 SH         DEFINED    1,2                         208289
 NORTHERN CORP    shares
CITIZENS          Common Stock    174420307     272    395786 SH         DEFINED    1,2,8                       395786
 REPUBLIC
 BANCORP
CITIZENS INC      Common equity   174740100    4666    684561 SH         DEFINED    1,2,5,6,8                   684561
                  shares
CITY HOLDING CO   Common equity   177835105   21924    663717 SH         DEFINED    1,2,5,6,8,17                663717
                  shares
CITY NATIONAL     Common equity   178566105   75687   1395286 SH         DEFINED    1,2,5,6,8,12               1395286
 CORP             shares
CLARCOR INC       Common equity   179895107   58462   1236446 SH         DEFINED    1,2,5,6,8                  1236446
                  shares
BLACK DIAMOND     Common Stock    09202G101    1183    150000 SH         DEFINED    1,2                         150000
 INC
CLEAN HARBORS     Common Stock    184496107   81936    793561 SH         DEFINED    1,2,5,6,8,12                793561
 INC
CLIFFS NATURAL    Common equity   18683K101  550443   5953911 SH         DEFINED    1,2,5,6,8,10,12,17,18      5953911
 RESOURCES INC    shares
COCA-COLA         Common equity   191098102    5906     87208 SH         DEFINED    1,2,6,8                      87208
 BTLNG CONS       shares
COCA-COLA         American        191241108    7018     75467 SH         DEFINED    1,6                          75467
 FEMSA SAB DE     Depository
 CV               Receipt
COEUR D`ALENE     Common equity   192108504   78000   3215126 SH         DEFINED    1,2,5,6,8,18               3215126
 MINES CORP       shares
COGNEX CORP       Common equity   192422103   31082    877305 SH         DEFINED    1,2,5,6,8                   877305
                  shares
COGNIZANT TECH    Common equity   192446102  872614  11898326 SH         DEFINED    1,2,5,6,8,10,12,18        11898326
 SOLUTIONS        shares
COHERENT INC      Common Stock    192479103   31124    563149 SH         DEFINED    1,2,5,6,8                   563149
COHU INC          Common equity   192576106    7071    539544 SH         DEFINED    1,2,5,8                     539544
                  shares
COINSTAR INC      Common equity   19259P300   39811    729938 SH         DEFINED    1,2,5,6,8                   729938
                  shares
COLDWATER         Common equity   193068103    1699   1210940 SH         DEFINED    1,2,5,6,8                  1210940
 CREEK INC        shares
COLE KENNETH      Common equity   193294105    2251    180409 SH         DEFINED    1,2                         180409
 PROD INC  -CL    shares
 A
COLONIAL          Real Estate     195872106   59465   2915126 SH         DEFINED    1,2,3,5,6,8                2915126
 PROPERTIES       Investment
 TRUST            Trust
COBIZ             Common equity   190897108    3878    593073 SH         DEFINED    1,2,5                       593073
 FINANCIAL INC    shares
COLUMBIA          Common equity   197236102   24556   1425936 SH         DEFINED    1,2,5,6,8                  1425936
 BANKING          shares
 SYSTEM INC
KODIAK OIL &      Common equity   50015Q100   19888   3446425 SH         DEFINED    1,2,6,8                    3446425
 GAS CORP         shares
COLUMBIA          Common equity   197779101    2891    936213 SH         DEFINED    1,2                         936213
 LABORATORIES     shares
 INC
COLUMBIA          Common equity   198516106   14677    231454 SH         DEFINED    1,2,5,6,8                   231454
 SPORTSWEAR CO    shares
COLUMBUS          Common equity   199333105    6959    387377 SH         DEFINED    1,2,8                       387377
 MCKINNON CORP    shares
COMFORT           Common equity   199908104   10485    988299 SH         DEFINED    1,2,5,6,8                   988299
 SYSTEMS USA      shares
 INC
COMCAST CORP      Common equity   20030N200  112522   4643764 SH         DEFINED    1,2,5,8,10,12,18           4643764
 NEW              shares
COMMERCE          Common equity   200525103  208219   4842257 SH         DEFINED    1,2,5,6,8,12,17,18         4842257
 BANCSHARES INC   shares
COMMERCIAL        Common equity   201723103   72374   5043507 SH         DEFINED    1,2,5,6,8,12               5043507
 METALS           shares
NATIONAL          Real Estate     637417106  156928   6402629 SH         DEFINED    1,2,3,5,6,8                6402629
 RETAIL           Investment
 PROPERTIES       Trust







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COMMUNITY BANK    Common equity   203607106   34390   1387255 SH         DEFINED    1,2,5,6,8                  1387255
 SYSTEM INC       shares
COMMUNICATIONS    Common equity   203900105    1567     87315 SH         DEFINED    1,2                          87315
 SYSTEMS INC      shares
COMMUNITY         Common equity   204149108    7852    283235 SH         DEFINED    1,2,5,8                     283235
 TRUST BANCORP    shares
 INC
CIA ENERGETICA    American        204409601   13884    672665 SH         DEFINED    1,2,4,5,6,8,10              672665
 DE MINAS         Depository
                  Receipt
CIA BRASILEIRA    American        20440T201    5035    107278 SH         DEFINED    1,2,4,5,6,10                107278
 DE DISTRIB       Depository
                  Receipt
COMPANHIA         American        20440W105   19471   1562654 SH         DEFINED    1,2,5,6,8,10               1562654
 SIDERURGICA      Depository
 NACION           Receipt
VALE S A          American        91912E204  117069   4042457 SH         DEFINED    1,2,4,5,6,8,10             4042457
                  Depository
                  Receipt
COPEL-CIA         American        20441B407   18437    678800 SH         DEFINED    1,2,6,10,18                 678800
 PARANAENSE       Depository
 ENERGIA          Receipt
CIA DE BEBIDAS    American        20441W203  134422   3985287 SH         DEFINED    1,2,4,5,6,8,10,18          3985287
 DAS AMERICAS     Depository
                  Receipt
COMPANIA          American        204429104    9935    169044 SH         DEFINED    1,2,5,6                     169044
 CERVECERIAS      Depository
 UNIDAS           Receipt
COMPUCREDIT       Common equity   20478T107      32     14134 SH         DEFINED    1,2                          14134
 HOLDINGS CORP    shares
COMPUTER TASK     Common Stock    205477102    3547    269558 SH         DEFINED    1,2                         269558
 GROUP INC
COMPX             Common Stock    20563P101     134     10289 SH         DEFINED    1                            10289
 INTERNATIONAL
 INC
COMSTOCK          Common equity   205768203   54155   1881046 SH         DEFINED    1,2,5,6,8,12               1881046
 RESOURCES INC    shares
COMTECH           Common equity   205826209   22739    810943 SH         DEFINED    1,2,5,6,8                   810943
 TELECOMMUN       shares
CONCEPTUS INC     Common Stock    206016107    7349    629473 SH         DEFINED    1,2,5,6,8                   629473
CONCUR            Common equity   206708109   79847   1594759 SH         DEFINED    1,2,5,6,8,12               1594759
 TECHNOLOGIES     shares
 INC
CONMED CORP       Common equity   207410101   19157    672683 SH         DEFINED    1,2,5,6,8                   672683
                  shares
CONNECTICUT       Common equity   207797101    4368    170664 SH         DEFINED    1,2,5,17                    170664
 WATER SVC INC    shares
MAJESCO           Common equity   560690208      53     17557 SH         DEFINED    1                            17557
 ENTERTAINMENT    shares
 CO
CONSOL ENERGY     Common equity   20854P109  491651  10141242 SH         DEFINED    1,2,5,6,8,10,12,18        10141242
 INC              shares
CONSOLIDATED      Common equity   209341106   15357    279579 SH         DEFINED    1,2,5,6,8,17                276429          3150
 GRAPHICS INC     shares
CONSOLIDATED      Common equity   210226106    3337    116607 SH         DEFINED    1,2,5                       116607
 TOMOKA LAND CO   shares
CONTANGO OIL &    Common equity   21075N204   26635    455752 SH         DEFINED    1,2,5,6,8                   455752
 GAS CO           shares
CONTINUCARE       Common Stock    212172100    3078    497927 SH         DEFINED    1,2                         497927
 CORP
COOPER            Common equity   216648402   98584   1244109 SH         DEFINED    1,2,5,6,8,12,17,18         1244109
 COMPANIES INC    shares
COPART INC        Common equity   217204106   72262   1550491 SH         DEFINED    1,2,5,6,8,12               1550491
                  shares
CORN PRODUCTS     Common equity   219023108  111440   2015837 SH         DEFINED    1,2,5,6,8,12,17,18         2012057          3780
 INTL INC         shares
NEOSTEM INC       Common equity   640650305     695    469861 SH         DEFINED    1,2                         469861
                  shares
CORPORATE         Common Stock    21988R102   51333   1175918 SH         DEFINED    1,2,5,6,8,12               1175918
 EXECUTIVE BRD
 CO
CORRECTIONS       Common equity   22025Y407   56800   2623516 SH         DEFINED    1,2,5,6,8,12               2623516
 CORP AMER        shares
CORVEL CORP       Common equity   221006109    7613    162365 SH         DEFINED    1,2,5,6,8                   162365
                  shares
COST PLUS INC     Common equity   221485105    2376    237573 SH         DEFINED    1,2                         237573
                  shares
COSTAR GROUP      Common equity   22160N109   27572    465122 SH         DEFINED    1,2,5,6,8                   465122
 INC              shares
COURIER CORP      Common equity   222660102    2368    214589 SH         DEFINED    1,2                         214589
                  shares
COUSINS           Real Estate     222795106   34227   4007876 SH         DEFINED    1,2,3,5,6,8,12             4007876
 PROPERTIES INC   Investment
                  Trust
COVENANT          Common equity   22284P105     658     84980 SH         DEFINED    1,2                          84980
 TRANSPORTATION   shares
 GRP
CRAWFORD & CO     Common equity   224633107    3291    465213 SH         DEFINED    1,2                         465213
                  shares
CRAY INC          Common Stock    225223304    4978    777801 SH         DEFINED    1,2,5,6,8                   777801
CREDIT            Common Stock    225310101   11475    135886 SH         DEFINED    1,2,5,6,8                   135886
 ACCEPTANCE
 CORP
CROSS (A.T.) &    Common equity   227478104    1221    107354 SH         DEFINED    1,2                         107354
 CO  -CL A        shares
CROWN CASTLE      Common equity   228227104  199757   4897169 SH         DEFINED    1,2,5,6,8,10,12,18         4897169
 INTL CORP        shares
CROWN HOLDINGS    Common equity   228368106  125310   3228061 SH         DEFINED    1,2,5,6,8,10,12,18         3228061
 INC              shares
AMERICA`S         Common equity   03062T105    6871    208154 SH         DEFINED    1,2,5,6                     208154
 CAR-MART INC     shares
CROWN MEDIA       Common equity   228411104     914    478828 SH         DEFINED    1,2                         478828
 HOLDINGS INC     shares
CRYOLIFE INC      Common equity   228903100    4247    758463 SH         DEFINED    1,2,6                       758463
                  shares
CUBIC CORP        Common equity   229669106   18688    366567 SH         DEFINED    1,2,5,6,8                   366567
                  shares
CUBIC ENERGY      Common equity   229675103      17     23500 SH         DEFINED    1                            23500
 INC              shares
CUBIST            Common equity   229678107   68381   1899959 SH         DEFINED    1,2,5,6,8                  1899959
 PHARMACEUTICALS  shares
 INC
CULLEN/FROST      Common equity   229899109  115785   2036628 SH         DEFINED    1,2,5,6,8,12,17            2036628
 BANKERS INC      shares
CURIS INC         Common equity   231269101    4642   1297081 SH         DEFINED    1,2                        1297081
                  shares
CURTISS-WRIGHT    Common equity   231561101   32359    999556 SH         DEFINED    1,2,5,6,8                   999556
 CORP             shares
CYBERONICS INC    Common Stock    23251P102   17974    642968 SH         DEFINED    1,2,5,6,8                   642968
CYMER INC         Common equity   232572107   34556    697869 SH         DEFINED    1,2,5,6,8                   697869
                  shares
CYPRESS           Common Stock    232806109   94359   4463686 SH         DEFINED    1,2,5,6,8,12               4463686
 SEMICONDUCTOR
 CORP
CYTRX CORP        Common equity   232828301      49     66641 SH         DEFINED    1                            66641
                  shares
OPKO HEALTH INC   Common equity   68375N103    6548   1774820 SH         DEFINED    1,2,6                      1774820
                  shares
AVIAT NETWORKS    Common Stock    05366Y102    5827   1479385 SH         DEFINED    1,2,5,8                    1479385
 INC
DSP GROUP INC     Common equity   23332B106    5472    628917 SH         DEFINED    1,2                         628917
                  shares
DXP               Common equity   233377407    4750    187385 SH         DEFINED    1,2,6                       187385
 ENTERPRISES      shares
 INC
DAKTRONICS INC    Common equity   234264109    8069    748005 SH         DEFINED    1,2,5,6,8                   748005
                  shares
COVANTA           Common equity   22282E102   23380   1418005 SH         DEFINED    1,2,5,6,8                  1418005
 HOLDING CORP     shares
DARLING           Common equity   237266101   42398   2395481 SH         DEFINED    1,2,5,6,8                  2395481
 INTERNATIONAL    shares
 INC
DAVITA INC        Common equity   23918K108  304657   3517605 SH         DEFINED    1,2,5,6,8,10,12,18         3517605
                  shares
DAWSON            Common equity   239359102    6095    178605 SH         DEFINED    1,2,5,6,8                   178605
 GEOPHYSICAL CO   shares
DEARBORN          Common equity   24242R108      13     11040 SH         DEFINED    1                            11040
 BANCORP INC      shares
DECKERS           Common equity   243537107   91640   1039748 SH         DEFINED    1,2,5,6,8,12               1039748
 OUTDOOR CORP     shares
DELPHI            Common equity   247131105   36652   1254816 SH         DEFINED    1,2,5,6,8                  1254816
 FINANCIAL        shares
 GROUP INC
DELTA APPAREL     Common equity   247368103    1487     87506 SH         DEFINED    1,2                          87506
 INC              shares
DELTIC TIMBER     Common equity   247850100   12590    234565 SH         DEFINED    1,2,5,6,8                   234565
 CORP             shares
DELTA             Common Stock    247907306      96    191946 SH         DEFINED    1,5,8                       191946
 PETROLEUM CORP
DENBURY           Common equity   247916208  362991  18149704 SH         DEFINED    1,2,5,6,8,10,12,18        18149704
 RESOURCES INC    shares
DENDREON CORP     Common Stock    24823Q107   88616   2246850 SH         DEFINED    1,2,5,6,8,12               2246850
DENTSPLY          Common equity   249030107  194630   5111045 SH         DEFINED    1,2,5,6,8,10,12,18         5111045
 INTERNATL INC    shares
DEPOMED INC       Common equity   249908104   12938   1581345 SH         DEFINED    1,2,6                      1581345
                  shares
CASUAL MALE       Common equity   148711302    2545    613558 SH         DEFINED    1,2                         613558
 RETAIL GRP INC   shares
DEVRY INC         Common equity   251893103  131649   2226489 SH         DEFINED    1,2,5,6,8,10,12,18         2226489
                  shares
DIAMOND           Common equity   25271C102  216639   3076919 SH         DEFINED    1,2,5,6,8,10,12,18         3076919
 OFFSHRE          shares
 DRILLING INC
DIEBOLD INC       Common equity   253651103  133067   4290992 SH         DEFINED    1,2,5,6,8,12               4290992
                  shares
DIGI              Common equity   253798102    8090    622568 SH         DEFINED    1,2,5,6                     622568
 INTERNATIONAL    shares
 INC
DIGITAL RIVER     Common equity   25388B104   44922   1396768 SH         DEFINED    1,2,5,6,8,12               1396768
 INC              shares
DG FASTCHANNEL    Common Stock    23326R109   17272    538893 SH         DEFINED    1,2,5,6,8                   538893
 INC
DIME COMMUNITY    Common equity   253922108    9340    642151 SH         DEFINED    1,2,5,8                     642151
 BANCSHARES       shares
ALLIANCE ONE      Common equity   018772103    5142   1591726 SH         DEFINED    1,2,5                      1591726
 INTL INC         shares
DIODES INC        Common equity   254543101   22961    879673 SH         DEFINED    1,2,5,6,8                   879673
                  shares
INFINITY          Common Stock    45665G303    2157    260963 SH         DEFINED    1,2                         260963
 PHARMACEUTICALS
 INC
NAUTILUS INC      Common equity   63910B102      32     16161 SH         DEFINED    1                            16161
                  shares
DITECH            Common equity   25500T108      25     21085 SH         DEFINED    1                            21085
 NETWORKS INC     shares
DOLLAR THRIFTY    Common equity   256743105   43740    593169 SH         DEFINED    1,2,5,6,8                   593169
 AUTOMOTIVE GP    shares
DONALDSON CO      Common equity   257651109  110435   1819959 SH         DEFINED    1,2,5,6,8,12               1819959
 INC              shares
DOT HILL          Common equity   25848T109    1999    703484 SH         DEFINED    1,2                         703484
 SYSTEMS CORP     shares
ASCENA RETAIL     Common equity   04351G101   82878   2434036 SH         DEFINED    1,2,5,6,8,12,17            2434036
 GROUP INC        shares
DREW              Common equity   26168L205   10790    436523 SH         DEFINED    1,2,5,8                     436523
 INDUSTRIES INC   shares
DRIL-QUIP INC     Common equity   262037104   92514   1363918 SH         DEFINED    1,2,5,6,8,12               1363918
                  shares
DUCOMMUN INC      Common equity   264147109    6608    321178 SH         DEFINED    1,2,5                       321178
                  shares
DURECT CORP       Common equity   266605104    3950   1944320 SH         DEFINED    1,2,5,6                    1944320
                  shares
DUSA              Common equity   266898105    1933    310700 SH         DEFINED    1,2                         310700
 PHARMACEUTICALS  shares
 INC
DYAX CORP         Common equity   26746E103    3275   1656612 SH         DEFINED    1,2,5,6,8                  1656612
                  shares
DYCOM             Common equity   267475101   12662    774924 SH         DEFINED    1,2,5,6,8                   774924
 INDUSTRIES INC   shares
DYNAMIC           Common equity   267888105    6076    271133 SH         DEFINED    1,2,5,6,8                   271133
 MATERIALS CORP   shares
DYNAMICS          Common equity   268057106    1374    100805 SH         DEFINED    1,2                         100805
 RESEARCH CORP    shares
DYNEX CAPITAL     Real Estate     26817Q506    5926    612106 SH         DEFINED    1,2,8                       612106
 INC              Investment
                  Trust
EMC INSURANCE     Common equity   268664109    2238    117136 SH         DEFINED    1,2                         117136
 GROUP INC        shares
EMS               Common equity   26873N108   10594    321380 SH         DEFINED    1,2,6,8                     321380
 TECHNOLOGIES     shares
 INC
ENI SPA           American        26874R108     650     13659 SH         DEFINED    1,2                          13659
                  Depository
                  Receipt
EPIQ SYSTEMS      Common equity   26882D109   10836    762056 SH         DEFINED    1,2,5,6,8                   762056
 INC              shares
ESB FINANCIAL     Common equity   26884F102    2430    187991 SH         DEFINED    1,2,5                       187991
 CORP             shares
EAGLE BANCORP     Common equity   268948106    3823    287348 SH         DEFINED    1,2                         287348
 INC/MD           shares
EARTHLINK INC     Common equity   270321102   22406   2911800 SH         DEFINED    1,2,5,6,8,17               2911800
                  shares
EAST WEST         Common equity   27579R104   90390   4472871 SH         DEFINED    1,2,5,6,8,12               4472871
 BANCORP INC      shares
EATON VANCE       Common equity   278265103  185991   6152764 SH         DEFINED    1,2,5,6,8,10,12,18         6152764
 CORP             shares
EBIX INC          Common equity   278715206   11936    626426 SH         DEFINED    1,2,5,6,8                   626426
                  shares
ECHELON CORP      Common Stock    27874N105    6296    692563 SH         DEFINED    1,2,5,6,8                   692563
EDGAR ONLINE      Common equity   279765101      10     11200 SH         DEFINED    1                            11200
 INC              shares
EDGEWATER         Common equity   280358102      38     14019 SH         DEFINED    1                            14019
 TECHNOLOGY INC   shares
EL PASO           Common equity   283677854   32491   1005870 SH         DEFINED    1,2,5,6,8                  1005870
 ELECTRIC CO      shares
ELECTRO RENT      Common equity   285218103    6944    405598 SH         DEFINED    1,2,5,8,17                  405598
 CORP             shares
ELECTRO           Common equity   285229100   10429    540404 SH         DEFINED    1,2,5,8                     540404
 SCIENTIFIC       shares
 INDS INC
ELECTRONICS       Common equity   286082102   18210   1057662 SH         DEFINED    1,2,5,6,8                  1057662
 FOR IMAGING      shares
 INC
ELLIS PERRY       Common equity   288853104    8746    346353 SH         DEFINED    1,2,6                       346353
 INTL INC         shares
EMAGIN CORP       Common equity   29076N206    1197    197410 SH         DEFINED    1,2                         197410
                  shares
EMBRAER SA        American        29082A107    3460    112362 SH         DEFINED    1,2,4,5,6,8,10,18           112362
                  Depository
                  Receipt
EMBOTELLADORA     American        29081P204     228      9114 SH         DEFINED    1,6                           9114
 ANDINA S A       Depository
                  Receipt
EMBOTELLADORA     American        29081P303     483     16754 SH         DEFINED    1,5,6                        16754
 ANDINA SA        Depository
                  Receipt
EMCORE CORP       Common equity   290846104    3075   1122563 SH         DEFINED    1,2                        1122563
                  shares
EMCOR GROUP INC   Common equity   29084Q100   48095   1640794 SH         DEFINED    1,2,5,6,8,17               1640794
                  shares
EMERITUS CORP     Common equity   291005106   11208    527484 SH         DEFINED    1,2,5,6,8                   527484
                  shares
EMMIS             Common equity   291525103      30     27908 SH         DEFINED    1                            27908
 COMMUNICATIONS   shares
 CP-CL A
EMPIRE            Common equity   291641108   16609    862378 SH         DEFINED    1,2,5,6,8                   862378
 DISTRICT         shares
 ELECTRIC CO
ENDESA-EMPR       American        29244T101   29191    511114 SH         DEFINED    1,2,5,6,10                  511114
 NAC ELEC         Depository
 (CHILE)          Receipt
ENBRIDGE INC      Common equity   29250N105     263      8136 SH         DEFINED    1                             8136
                  shares
ENCORE WIRE       Common equity   292562105    9780    403684 SH         DEFINED    1,2,5,8                     403684
 CORP             shares
ENDO              Common equity   29264F205  125071   3113658 SH         DEFINED    1,2,5,6,8,12,18            3113658
 PHARMACEUTICALS  shares
 HLDGS
ENERGY            Common equity   292659109     108     93341 SH         DEFINED    1,2,5,6                      93341
 CONVERSION DEV   shares
ENERGEN CORP      Common equity   29265N108  134742   2384745 SH         DEFINED    1,2,5,6,8,10,12,18         2384745
                  shares
ENERGY            Common Stock    29270U303   18037   1217828 SH         DEFINED    1,2                        1217828
 PARTNERS LTD
ENERPLUS CORP     Composition of  292766102     526     16677 SH         DEFINED    1,2,8                        16677
                  more than 1
                  security
ENERSIS SA        American        29274F104   22434    971114 SH         DEFINED    1,2,5,6,8,10                971114
                  Depository
                  Receipt
ENNIS INC         Common equity   293389102   10020    575926 SH         DEFINED    1,2,5,8                     575926
                  shares
ENSTAR GROUP      Common equity   G3075P101   14441    138221 SH         DEFINED    1,2,5,6,8                   138221
 LTD              shares
ENTERCOM          Common equity   293639100    3646    420209 SH         DEFINED    1,2                         420209
 COMMUNICATIONS   shares
 CORP
ENTERPRISE        Limited         293792107   37316    863585 SH         DEFINED    1,8                         863585
 PRODS PRTNRS     Partnership
 -LP
ENTERTAINMENT     Real Estate     29380T105   57069   1222003 SH         DEFINED    1,2,3,5,6,8                1222003
 PROPERTIES TR    Investment
                  Trust
ENTRAVISION       Common equity   29382R107    1475    795385 SH         DEFINED    1,2                         795385
 COMMUNICATIONS   shares
ENZON             Common Stock    293904108   16068   1599036 SH         DEFINED    1,2,5,6,8                  1599036
 PHARMACEUTICALS
 INC
ENZO BIOCHEM      Common equity   294100102    3144    740137 SH         DEFINED    1,2,5,6,8                   740137
 INC              shares
EPLUS INC         Common Stock    294268107    2300     86974 SH         DEFINED    1,2                          86974
EQUINIX INC       Common equity   29444U502  114933   1137746 SH         DEFINED    1,2,5,6,8,12               1137746
                  shares
EQT CORP          Common equity   26884L109  300585   5722928 SH         DEFINED    1,2,5,6,8,10,12,18         5722928
                  shares
EQUITY ONE INC    Real Estate     294752100   43085   2311194 SH         DEFINED    1,2,3,5,6,8,12             2311194
                  Investment
                  Trust
ERICSSON (LM)     American        294821608    7583    527349 SH         DEFINED    1,2                         527349
 TELEFON          Depository
                  Receipt
ERIE INDEMNITY    Common equity   29530P102   24776    350374 SH         DEFINED    1,2,5,6,8,12                350374
 CO  -CL A        shares
ESCALON           Common equity   296074305      32     27760 SH         DEFINED    2                            27760
 MEDICAL CORP     shares
ESCO              Common equity   296315104   22900    622353 SH         DEFINED    1,2,5,6,8                   622353
 TECHNOLOGIES     shares
 INC
BGC PARTNERS      Common equity   05541T101   10264   1327380 SH         DEFINED    1,2,5,6,8                  1327380
 INC              shares
ESTERLINE         Common equity   297425100   54383    711844 SH         DEFINED    1,2,5,6,8                   711844
 TECHNOLOGIES     shares
 CORP
ETHAN ALLEN       Common equity   297602104   21566   1012855 SH         DEFINED    1,2,5,6,8                  1012855
 INTERIORS INC    shares
NEWMARKET CORP    Common equity   651587107   64425    377423 SH         DEFINED    1,2,5,6,8,12                377423
                  shares
EURONET           Common equity   298736109   17323   1124062 SH         DEFINED    1,2,5,6,8                  1124062
 WORLDWIDE INC    shares
EVERGREEN         Common Stock    30033R306      13     23425 SH         DEFINED    1                            23425
 SOLAR INC
EXACT SCIENCES    Common Stock    30063P105    7298    848491 SH         DEFINED    1,2                         848491
 CORP
EXAR CORP         Common equity   300645108    5201    821309 SH         DEFINED    1,2,5,8                     821309
                  shares
EXACTECH INC      Common equity   30064E109    2555    141900 SH         DEFINED    1,2,6                       141900
                  shares
EXELIXIS INC      Common equity   30161Q104   40347   4503317 SH         DEFINED    1,2,5,6,8                  4503317
                  shares
EXPONENT INC      Common equity   30214U102   12879    295896 SH         DEFINED    1,2,6,8                     295896
                  shares
EZCORP INC        Common equity   302301106   39499   1110317 SH         DEFINED    1,2,5,6,8,17,18            1110317
 -CL A            shares
FBL FINANCIAL     Common equity   30239F106    9502    295571 SH         DEFINED    1,2,5,8                     295571
 GROUP INC-CL A   shares
FEI CO            Common equity   30241L109   30997    811615 SH         DEFINED    1,2,5,6,8                   811615
                  shares
FLIR SYSTEMS      Common equity   302445101  190191   5641790 SH         DEFINED    1,2,5,6,8,10,12,18         5641790
 INC              shares
FMC CORP          Common equity   302491303  238644   2774297 SH         DEFINED    1,2,5,6,8,10,12,18         2774297
                  shares
F N B CORP/FL     Common equity   302520101   41609   4020748 SH         DEFINED    1,2,5,6,8                  4020748
                  shares
FPIC INSURANCE    Common equity   302563101    8825    211621 SH         DEFINED    1,2,8                       211621
 GROUP INC        shares
FSI INTL INC      Common Stock    302633102    1890    689427 SH         DEFINED    1,2                         689427
FX ENERGY INC     Common equity   302695101    8534    972233 SH         DEFINED    1,2,5,6                     972233
                  shares
OPPENHEIMER       Common equity   683797104    5775    204781 SH         DEFINED    1,2,8                       204781
 HOLDINGS INC     shares
FTI CONSULTING    Common equity   302941109   55645   1466721 SH         DEFINED    1,2,5,6,8,12               1466721
 INC              shares
FACTSET           Common equity   303075105  114068   1114819 SH         DEFINED    1,2,5,6,8,12               1114819
 RESEARCH         shares
 SYSTEMS INC
FAIR ISAAC CORP   Common equity   303250104   43172   1429716 SH         DEFINED    1,2,5,6,8,12               1429716
                  shares
FAIRCHILD         Common equity   303726103   58485   3499910 SH         DEFINED    1,2,5,6,8,12               3499910
 SEMICONDUCTOR    shares
 INTL
FARMER BROS CO    Common equity   307675108    1272    125690 SH         DEFINED    1,2                         125690
                  shares
FARO              Common equity   311642102   15551    355183 SH         DEFINED    1,2,5,6,8                   355183
 TECHNOLOGIES     shares
 INC
FASTENAL CO       Common equity   311900104  373617  10381017 SH         DEFINED    1,2,5,6,8,10,12,18        10381017
                  shares
FEDERAL           Common equity   313148306    3529    159491 SH         DEFINED    1,2                         159491
 AGRICULTURE      shares
 MTG CP
FEDERAL REALTY    Real Estate     313747206  217464   2552994 SH         DEFINED    1,2,3,5,6,8,10,12,18       2552994
 INVESTMENT TR    Investment
                  Trust
FEDERAL SIGNAL    Common equity   313855108    8465   1290640 SH         DEFINED    1,2,5,8                    1290640
 CORP             shares
FELCOR LODGING    Real Estate     31430F101   21752   4080899 SH         DEFINED    1,2,3,5,6,8                4080899
 TRUST INC        Investment
                  Trust
FEMALE HEALTH     Common Stock    314462102    1405    279406 SH         DEFINED    1,2                         279406
 CO
FERRELLGAS        Limited         315293100    2238     99182 SH         DEFINED    1                            99182
 PARTNERS  -LP    Partnership
FERRO CORP        Common equity   315405100   26380   1962570 SH         DEFINED    1,2,5,6,8,17               1962570
                  shares
F5 NETWORKS INC   Common equity   315616102  328582   2980428 SH         DEFINED    1,2,5,6,8,10,12,18         2980428
                  shares
FINANCIAL         Common equity   317585404    4045    246416 SH         DEFINED    1,2                         246416
 INSTITUTIONS     shares
 INC
FINISAR CORP      Common equity   31787A507   31153   1727865 SH         DEFINED    1,2,5,6,8                  1727865
                  shares
FINISH LINE       Common equity   317923100   32630   1524620 SH         DEFINED    1,2,5,6,8                  1524620
 INC  -CL A       shares
GLEACHER &        Common Stock    377341102    2836   1388314 SH         DEFINED    1,2,6,8                    1388314
 COMPANY INC
CORELOGIC INC     Common equity   21871D103   45383   2715837 SH         DEFINED    1,2,5,6,8,10,12            2715837
                  shares
FIRST BANCORP     Common equity   318672706     166     38793 SH         DEFINED    1,2,5                        38793
 P R              shares







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FIRST             Common equity   318910106    3027    295886 SH         DEFINED    1,2,5,8                     295886
 BANCORP/NC       shares
FIRST BUSEY       Common equity   319383105    6593   1246482 SH         DEFINED    1,2,5,6,8                  1246482
 CORP             shares
FIRST CASH        Common equity   31942D107   26964    642095 SH         DEFINED    1,2,5,6,8,17                642095
 FINANCIAL SVCS   shares
FIRST CITIZENS    Common equity   31946M103   12730     68014 SH         DEFINED    1,2,5,6,8                    68014
 BANCSH  -CL A    shares
FIRST             Common equity   319829107   21840   3804309 SH         DEFINED    1,2,5,6,8                  3804309
 COMMONWLTH       shares
 FINL CP/PA
FIRST CMNTY       Common equity   31983A103    4820    344501 SH         DEFINED    1,2,5                       344501
 BANCSHARES INC   shares
PACWEST BANCORP   Common equity   695263103   27989   1360651 SH         DEFINED    1,2,5,6,8                  1360651
                  shares
FIRST DEFIANCE    Common equity   32006W106    1831    124612 SH         DEFINED    1,2                         124612
 FINANCIAL CP     shares
FIRST FINL        Common equity   320209109   33950   2033934 SH         DEFINED    1,2,5,6,8,17               2033934
 BANCORP INC/OH   shares
FIRST FINL        Common equity   32020R109   37865   1099074 SH         DEFINED    1,2,5,6,8                  1099074
 BANKSHARES INC   shares
FIRST             Common equity   320218100    7497    229053 SH         DEFINED    1,2,5,8                     229053
 FINANCIAL        shares
 CORP/IN
FIRST             Common equity   320239106    2974    331493 SH         DEFINED    1,2,8                       331493
 FINANCIAL        shares
 HOLDINGS INC
FIRST INDL        Real Estate     32054K103   27514   2402937 SH         DEFINED    1,2,3,5,6,8                2402937
 REALTY TRUST     Investment
 INC              Trust
FIRST LONG        Common equity   320734106    3553    127432 SH         DEFINED    1,2                         127432
 ISLAND CORP      shares
FIRST MARINER     Common Stock    320795107      15     24842 SH         DEFINED    1                            24842
 BANCORP
FIRST             Common equity   320817109    4331    484137 SH         DEFINED    1,2,8                       484137
 MERCHANTS CORP   shares
FIRST MIDWEST     Common equity   320867104   35303   2872282 SH         DEFINED    1,2,5,6,8                  2872282
 BANCORP INC      shares
SCBT FINANCIAL    Common equity   78401V102    8154    284440 SH         DEFINED    1,2,5,8                     284440
 CORP             shares
FIRST BANCORP     Common equity   31866P102    2159    145389 SH         DEFINED    1,2                         145389
 INC/ME           shares
FIRST NIAGARA     Common equity   33582V108  120378   9119546 SH         DEFINED    1,2,5,6,8,12               9119546
 FINANCIAL GRP    shares
FIRST PLACE       Common equity   33610T109      12     10672 SH         DEFINED    1                            10672
 FINANCIAL        shares
 CP/DE
FIRST SOUTH       Common equity   33646W100      45     10726 SH         DEFINED    1                            10726
 BANCORP INC/VA   shares
1ST SOURCE CORP   Common equity   336901103    7151    344913 SH         DEFINED    1,2,5,8                     344913
                  shares
WINTHROP          Real Estate     976391300    5688    476365 SH         DEFINED    1,2,3,6,8                   476365
 REALTY TRUST     Investment
                  Trust
FISHER            Common Stock    337756209    4071    136470 SH         DEFINED    1,2,8                       136470
 COMMUNICATIONS
 INC
FIRSTMERIT CORP   Common equity   337915102   73253   4436884 SH         DEFINED    1,2,5,6,8,12               4436884
                  shares
FLAGSTAR          Common equity   337930507    3096   2600603 SH         DEFINED    1,2                        2600603
 BANCORP INC      shares
FLOTEK            Common equity   343389102    6590    773551 SH         DEFINED    1,2,6                       773551
 INDUSTRIES INC   shares
FLOW INTL CORP    Common Stock    343468104    3150    885157 SH         DEFINED    1,2                         885157
FLOWERS FOODS     Common equity   343498101   64268   2915790 SH         DEFINED    1,2,5,6,8,12,17            2915790
 INC              shares
FLOWSERVE CORP    Common equity   34354P105  223294   2031815 SH         DEFINED    1,2,5,6,8,10,12,18         2031815
                  shares
FLUSHING          Common equity   343873105    8146    626586 SH         DEFINED    1,2,5,8                     626586
 FINANCIAL CORP   shares
FOMENTO           American        344419106   47822    719214 SH         DEFINED    1,2,6,18                    719214
 ECONOMICO        Depository
 MEXICANO         Receipt
FOREST CITY       Common equity   345550107   43497   2329875 SH         DEFINED    1,2,3,5,6,8,10,12          2329875
 ENTRPRS  -CL A   shares
FOREST OIL CORP   Common equity   346091705   81661   3057260 SH         DEFINED    1,2,5,6,8,10,12            3057260
                  shares
FORRESTER         Common equity   346563109   11025    334515 SH         DEFINED    1,2,5,6,8                   334515
 RESEARCH INC     shares
FOSSIL INC        Common equity   349882100  147162   1250091 SH         DEFINED    1,2,5,6,8,12               1250091
                  shares
FOSTER (LB) CO    Common equity   350060109    7004    212892 SH         DEFINED    1,2,5,6,8,17                208922          3970
                  shares
FOSTER WHEELER    Common equity   H27178104   25312    833081 SH         DEFINED    1,2,5,6,8,10,12,18          833081
 AG               shares
FRANCE TELECOM    American        35177Q105     302     14166 SH         DEFINED    1,2                          14166
                  Depository
                  Receipt
FRANKLIN COVEY    Common equity   353469109    2031    209816 SH         DEFINED    1,2                         209816
 CO               shares
FRANKLIN          Common equity   353514102   22647    482387 SH         DEFINED    1,2,5,6,8                   482387
 ELECTRIC CO      shares
 INC
FREDS INC         Common equity   356108100   17317   1200239 SH         DEFINED    1,2,5,6,8                  1200239
                  shares
FRESENIUS         American        358029106     351      4694 SH         DEFINED    1                             4694
 MEDICAL CARE     Depository
 AG&CO            Receipt
ARLINGTON         Real Estate     041356205    3962    126346 SH         DEFINED    1,2                         126346
 ASSET            Investment
 INVESTMENT       Trust
FRONTIER OIL      Common equity   35914P105   86947   2691109 SH         DEFINED    1,2,5,6,8,12               2691109
 CORP             shares
FUEL TECH INC     Common equity   359523107    2432    366819 SH         DEFINED    1,2,5,6                     366819
                  shares
FUELCELL          Common equity   35952H106    2370   1812051 SH         DEFINED    1,2,8                      1812051
 ENERGY INC       shares
FULLER (H. B.)    Common equity   359694106   28312   1159461 SH         DEFINED    1,2,5,6,8                  1159461
 CO               shares
FULTON            Common equity   360271100   65855   6149133 SH         DEFINED    1,2,5,6,8,12               6149133
 FINANCIAL CORP   shares
FURNITURE         Common equity   360921100    3805    918303 SH         DEFINED    1,2,5,8                     918303
 BRANDS INTL      shares
 INC
G&K SERVICES      Common equity   361268105   15786    466193 SH         DEFINED    1,2,5,6,8                   466193
 INC  -CL A       shares
LADENBURG         Common equity   50575Q102    2049   1486445 SH         DEFINED    1,2                        1486445
 THALMANN FINL    shares
 SERV
GP STRATEGIES     Common equity   36225V104    4165    305250 SH         DEFINED    1,2                         305250
 CORP             shares
GSE SYSTEMS INC   Common equity   36227K106      23     10232 SH         DEFINED    1                            10232
                  shares
GSI GROUP INC     Common Stock    36191C205    4137    343408 SH         DEFINED    1,2                         343408
G-III APPAREL     Common equity   36237H101   10797    313213 SH         DEFINED    1,2,6,8                     313213
 GROUP LTD        shares
GAMCO             Common equity   361438104    6846    147910 SH         DEFINED    1,2,5,6,8                   147910
 INVESTORS INC    shares
GAIAM INC         Common equity   36268Q103      83     16961 SH         DEFINED    1                            16961
                  shares
ARTHUR J          Common equity   363576109   76879   2693724 SH         DEFINED    1,2,5,6,8,12,17            2693724
 GALLAGHER & CO   shares
GARDNER DENVER    Common equity   365558105  105567   1255977 SH         DEFINED    1,2,5,6,8,12               1255977
 INC              shares
GARTNER INC       Common equity   366651107   86127   2137584 SH         DEFINED    1,2,5,6,8,12               2137584
                  shares
GASTAR            Common equity   367299203    3022    881739 SH         DEFINED    1,2,6                       881739
 EXPLORATION      shares
 LTD
GAYLORD           Common equity   367905106   24377    812474 SH         DEFINED    1,2,5,6,8                   812474
 ENTERTAINMENT    shares
 CO
GENCORP INC       Common equity   368682100    9495   1479116 SH         DEFINED    1,2,6,8                    1479116
                  shares
GENERAL CABLE     Common equity   369300108   30893    725593 SH         DEFINED    1,2,5,6,8                   725593
 CORP/DE          shares
GENERAL           Common equity   369385109   13930   1154319 SH         DEFINED    1,2,5,6,8                  1154319
 COMMUNICATION    shares
 -CL A
GENESCO INC       Common equity   371532102   37884    727065 SH         DEFINED    1,2,5,6,8,17                724475          2590
                  shares
GENESEE &         Common equity   371559105   51368    875939 SH         DEFINED    1,2,5,6,8                   875939
 WYOMING INC      shares
 -CL A
INOVIO            Common equity   45773H102      38     63351 SH         DEFINED    1                            63351
 PHARMACEUTICALS  shares
 INC
GENESIS           Misc Equity     371927104    1618     59338 SH         DEFINED    1                            59338
 ENERGY  -LP
GEORESOURCES      Common Stock    372476101   16085    715441 SH         DEFINED    1,2,5,6                     715441
 INC
GENTIVA HEALTH    Common equity   37247A102   13492    647771 SH         DEFINED    1,2,5,6,8                   647771
 SERVICES INC     shares
GEOKINETICS INC   Common equity   372910307     929    117739 SH         DEFINED    1,2                         117739
                  shares
GEORGIA GULF      Common equity   373200302   16196    670933 SH         DEFINED    1,2,6,8                     670933
 CORP             shares
GERBER            Common equity   373730100    5106    459045 SH         DEFINED    1,2                         459045
 SCIENTIFIC INC   shares
GERDAU SA         American        373737105   17143   1629306 SH         DEFINED    1,2,4,5,6,8,10             1629306
                  Depository
                  Receipt
GERMAN            Common equity   373865104    3338    201350 SH         DEFINED    1,2                         201350
 AMERICAN         shares
 BANCORP INC
GERON CORP        Common Stock    374163103   18701   4664801 SH         DEFINED    1,2,5,6,8                  4664801
GETTY REALTY      Real Estate     374297109   13855    549203 SH         DEFINED    1,2,3,5,6,8                 549203
 CORP             Investment
                  Trust
GIBRALTAR         Common equity   374689107    8006    707316 SH         DEFINED    1,2,5,6,8                   707316
 INDUSTRIES INC   shares
GLACIER           Common equity   37637Q105   31302   2321913 SH         DEFINED    1,2,5,6,8                  2321913
 BANCORP INC      shares
GLATFELTER        Common equity   377316104   16007   1040668 SH         DEFINED    1,2,5,6,8                  1040668
                  shares
GLAXOSMITHKLINE   American        37733W105  519048  12099009 SH         DEFINED    1                         11831599        267410
 PLC              Depository
                  Receipt
OUTDOOR           Common equity   690027206    1506    220277 SH         DEFINED    1,2,8                       220277
 CHANNEL HLDGS    shares
 INC
GLIMCHER          Real Estate     379302102   20424   2149576 SH         DEFINED    1,2,3,6,8                  2149576
 REALTY TRUST     Investment
                  Trust
GLOBAL            Common equity   379336100   23351   4261433 SH         DEFINED    1,2,5,6,8                  4261433
 INDUSTRIES LTD   shares
GLOBAL            Common equity   37940X102  103036   2020247 SH         DEFINED    1,2,5,6,8,12               2020247
 PAYMENTS INC     shares
GLOBECOMM         Common equity   37956X103    5885    378172 SH         DEFINED    1,2                         378172
 SYSTEMS INC      shares
GOLD FIELDS LTD   American        38059T106    2468    169179 SH         DEFINED    1,2,6,8,18                  169179
                  Depository
                  Receipt
GOLDCORP INC      Common equity   380956409     229      4750 SH         DEFINED    1,18                          4750
                  shares
GOLDEN STAR       Common equity   38119T104   10879   4945147 SH         DEFINED    1,2,6                      4945147
 RESOURCES LTD    shares
GOLDFIELD CORP    Common equity   381370105      16     41624 SH         DEFINED    2                            41624
                  shares
PERNIX            Real Estate     71426V108     269     31625 SH         DEFINED    1                            31625
 THERAPEUTICS     Investment
 HOLDINGS         Trust
GOODRICH          Common equity   382410405   17291    939140 SH         DEFINED    1,2,5,6,8                   939140
 PETROLEUM CORP   shares
GORMAN-RUPP CO    Common equity   383082104   10134    307641 SH         DEFINED    1,2,5,6,8                   307641
                  shares
GRACE (W R) &     Common equity   38388F108   41534    910188 SH         DEFINED    1,2,5,6,8                   910188
 CO               shares
GRACO INC         Common equity   384109104   74215   1464992 SH         DEFINED    1,2,5,6,8,12               1464992
                  shares
GRAHAM CORP       Common equity   384556106    4536    222487 SH         DEFINED    1,2                         222487
                  shares
GRANITE           Common equity   387328107   27361   1115342 SH         DEFINED    1,2,5,6,8,12               1115342
 CONSTRUCTION     shares
 INC
GRAPHIC           Common equity   388689101   17128   3148753 SH         DEFINED    1,2,5,6,8                  3148753
 PACKAGING        shares
 HOLDING CO
GRAY              Common equity   389375106    2020    765378 SH         DEFINED    1,2                         765378
 TELEVISION INC   shares
GREAT SOUTHERN    Common equity   390905107    3878    204632 SH         DEFINED    1,2,6                       204632
 BANCORP          shares
GREEN MTN         Common equity   393122106  319127   3575267 SH         DEFINED    1,2,5,6,8,10,12,18         3575267
 COFFEE           shares
 ROASTERS
GREENBRIER        Common equity   393657101    7900    399739 SH         DEFINED    1,2,6,8                     399739
 COMPANIES INC    shares
GREIF INC  -CL    Common equity   397624107   53028    815323 SH         DEFINED    1,2,5,6,8,12                815323
 A                shares
GRIFFIN LAND &    Common equity   398231100    1562     48134 SH         DEFINED    1,2                          48134
 NURSERIES INC    shares
GRIFFON CORP      Common equity   398433102   13712   1360724 SH         DEFINED    1,2,5,6,8                  1360724
                  shares
GROUP 1           Common equity   398905109   27604    670380 SH         DEFINED    1,2,5,6,8                   670380
 AUTOMOTIVE INC   shares
WINMARK CORP      Common equity   974250102    1438     33272 SH         DEFINED    1,2                          33272
                  shares
GRUBB & ELLIS     Common equity   400095204       8     26092 SH         DEFINED    1                            26092
 CO               shares
GRUPO             American        40051E202    1232     20899 SH         DEFINED    1,5                          20899
 AEROPORTUARIO    Depository
 SURESTE          Receipt
GUESS INC         Common equity   401617105   71716   1705105 SH         DEFINED    1,2,5,6,8,12               1705105
                  shares
GULF ISLAND       Common equity   402307102   10698    331552 SH         DEFINED    1,2,5,8                     331552
 FABRICATION      shares
 INC
GULFMARK          Common equity   402629208   31053    702698 SH         DEFINED    1,2,5,6,8                   702698
 OFFSHORE INC     shares
GULFPORT          Common equity   402635304   30759   1036055 SH         DEFINED    1,2,5,6,8                  1036055
 ENERGY CORP      shares
CRIMSON           Common Stock    22662K207     779    219200 SH         DEFINED    1,2                         219200
 EXPLORATION
 INC
HCC INSURANCE     Common equity   404132102   86723   2753078 SH         DEFINED    1,2,5,6,8,12               2753078
 HOLDINGS INC     shares
COMMONWEALTH      Real Estate     203233101   46452   1797670 SH         DEFINED    1,2,3,5,6,8                1797670
 REIT             Investment
                  Trust
HSBC HLDGS PLC    American        404280406    1516     30546 SH         DEFINED    1,2                          30546
                  Depository
                  Receipt
HAEMONETICS       Common equity   405024100   39975    621094 SH         DEFINED    1,2,5,6,8                   621094
 CORP             shares
HAIN CELESTIAL    Common equity   405217100   28095    842202 SH         DEFINED    1,2,5,6,8                   842202
 GROUP INC        shares
HALLADOR          Common equity   40609P105     373     38672 SH         DEFINED    1,2                          38672
 ENERGY CO        shares
HALLMARK          Common equity   40624Q203    1498    190195 SH         DEFINED    1,2                         190195
 FINANCIAL        shares
 SERVICES
HANCOCK           Common equity   410120109   93867   3030005 SH         DEFINED    1,2,5,6,8,12               3030005
 HOLDING CO       shares
HANGER            Common equity   41043F208   15706    641800 SH         DEFINED    1,2,5,6,8                   641800
 ORTHOPEDIC       shares
 GROUP INC
HANMI             Common equity   410495105    2055   1920435 SH         DEFINED    1,2                        1920435
 FINANCIAL CORP   shares
WALTER            Real Estate     93317W102   12340    556292 SH         DEFINED    1,2,6,8,17                  551992          4300
 INVESTMENT       Investment
 MGMT CORP        Trust
EXTERRAN          Common equity   30225X103   54343   2740285 SH         DEFINED    1,2,5,6,8,10,12            2740285
 HOLDINGS INC     shares
HANSEN NATURAL    Common equity   411310105  170135   2101815 SH         DEFINED    1,2,5,6,8,10,12,18         2101815
 CORP             shares
HARLEYSVILLE      Common equity   412824104    9008    288939 SH         DEFINED    1,2,5,8,17                  288939
 GROUP INC        shares
HARMONIC INC      Common equity   413160102   19196   2655459 SH         DEFINED    1,2,5,6,8                  2655459
                  shares
HARMONY GOLD      American        413216300     555     41880 SH         DEFINED    1,6                          41880
 MINING CO LTD    Depository
                  Receipt
HARRIS &          Common equity   413833104    2787    543312 SH         DEFINED    1,2                         543312
 HARRIS GROUP     shares
HARRIS            Common equity   414549105      16     19506 SH         DEFINED    1                            19506
 INTERACTIVE      shares
 INC
HARSCO CORP       Common equity   415864107   68081   2088321 SH         DEFINED    1,2,5,6,8,10,12            2088321
                  shares
HARVARD           Common equity   416906105    1382    259232 SH         DEFINED    1,2                         259232
 BIOSCIENCE INC   shares
HAVERTY           Common equity   419596101    4956    430637 SH         DEFINED    1,2,8                       430637
 FURNITURE        shares
HAWAIIAN          Common Stock    419879101    6374   1118213 SH         DEFINED    1,2                        1118213
 HOLDINGS INC
HAWAIIAN          Common equity   419870100   58704   2440073 SH         DEFINED    1,2,5,6,8,12               2440073
 ELECTRIC INDS    shares
HAWKINS INC       Common Stock    420261109    6040    166832 SH         DEFINED    1,2,6,8                     166832
HEALTHCARE        Common equity   421906108   22810   1403650 SH         DEFINED    1,2,5,6,8                  1403650
 SERVICES GROUP   shares
HCP INC           Real Estate     40414L109  901347  24566747 SH         DEFINED    1,2,3,5,6,8,10,12,18      24566747
                  Investment
                  Trust
HEALTHSOUTH       Common equity   421924309   59216   2255824 SH         DEFINED    1,2,5,6,8                  2255824
 CORP             shares
HEALTHCARE        Real Estate     421946104   49405   2394905 SH         DEFINED    1,2,3,5,6,8                2394905
 REALTY TRUST     Investment
 INC              Trust
HEADWATERS INC    Common equity   42210P102    4164   1330121 SH         DEFINED    1,2,5,8                    1330121
                  shares
HEALTH CARE       Real Estate     42217K106  452995   8640109 SH         DEFINED    1,2,3,5,6,8,10,12,18       8640109
 REIT INC         Investment
                  Trust
HMS HOLDINGS      Common equity   40425J101   48245    627648 SH         DEFINED    1,2,5,6,8                   627648
 CORP             shares
CATALYST          Common equity   14888B103   65464   1172754 SH         DEFINED    1,2,5,6,8,12               1172754
 HEALTH           shares
 SOLUTIONS
HEALTHSTREAM      Common equity   42222N103    2604    196262 SH         DEFINED    1,2                         196262
 INC              shares
HEARTLAND         Common equity   422347104   22579   1363540 SH         DEFINED    1,2,5,6,8                  1363540
 EXPRESS INC      shares
HEARTLAND         Common equity   42234Q102    4122    283348 SH         DEFINED    1,2,5,8                     283348
 FINANCIAL USA    shares
 INC
HECLA MINING CO   Common equity   422704106   79320  10315031 SH         DEFINED    1,2,5,6,8                 10315031
                  shares
HEICO CORP        Common equity   422806109   41263    753758 SH         DEFINED    1,2,5,6,8                   753758
                  shares
HEICO CORP NEW    Common equity   422806208    1410     35486 SH         DEFINED    1,6,8                        35486
                  shares
HEIDRICK &        Common equity   422819102    8578    378960 SH         DEFINED    1,2,5,8                     378960
 STRUGGLES INTL   shares
HELMERICH &       Common equity   423452101  280899   4248276 SH         DEFINED    1,2,5,6,8,10,12,18         4248276
 PAYNE            shares
HEMISPHERX        Common equity   42366C103      36     88410 SH         DEFINED    1                            88410
 BIOPHARMA INC    shares
HENRY (JACK) &    Common equity   426281101   84308   2809372 SH         DEFINED    1,2,5,6,8,12               2809372
 ASSOCIATES       shares
ENERGY            Limited         29273R109    8352    170902 SH         DEFINED    1,8                         170902
 TRANSFER         Partnership
 PARTNERS -LP
HERITAGE          Common equity   426927109    1205    235600 SH         DEFINED    1,2                         235600
 COMMERCE CORP    shares
HERITAGE          Common equity   42722X106    2662    205992 SH         DEFINED    1,2                         205992
 FINANCIAL CORP   shares
HERSHA            Real Estate     427825104   25797   4631852 SH         DEFINED    1,2,3,5,6,8                4631852
 HOSPITALITY      Investment
 TRUST            Trust
HEXCEL CORP       Common equity   428291108   42366   1935309 SH         DEFINED    1,2,5,6,8                  1935309
                  shares
HI TECH           Common equity   42840B101    5355    185176 SH         DEFINED    1,2,6                       185176
 PHARMACAL CO     shares
 INC
HIBBETT SPORTS    Common equity   428567101   29925    735100 SH         DEFINED    1,2,5,6,8                   735100
 INC              shares
HICKORY TECH      Common equity   429060106    2080    175092 SH         DEFINED    1,2                         175092
 CORP             shares
HIGHWOODS         Real Estate     431284108  108794   3283698 SH         DEFINED    1,2,3,5,6,8,12             3283698
 PROPERTIES INC   Investment
                  Trust
HOLLYFRONTIER     Common equity   436106108  103773   1495282 SH         DEFINED    1,2,5,6,8,10,12,17,18      1495282
 CORP             shares
HOLLYWOOD         Common equity   436233100      15     10485 SH         DEFINED    1                            10485
 MEDIA CORP       shares
HOLOGIC INC       Common equity   436440101  161473   8005813 SH         DEFINED    1,2,5,6,8,10,12,18         8005813
                  shares
HOME              Real Estate     437306103   81983   1346618 SH         DEFINED    1,2,3,5,6,8                1346618
 PROPERTIES INC   Investment
                  Trust
MOVE INC          Common equity   62458M108    6819   3115780 SH         DEFINED    1,2,5,6,8                  3115780
                  shares
HNI CORP          Common equity   404251100   36304   1445210 SH         DEFINED    1,2,5,6,8,12               1445210
                  shares
HONDA MOTOR CO    American        438128308     213      5525 SH         DEFINED    1,2                           5525
 LTD              Depository
                  Receipt
HOOKER            Common equity   439038100     148     16739 SH         DEFINED    1                            16739
 FURNITURE CORP   shares
HOOPER HOLMES     Common equity   439104100      54     59132 SH         DEFINED    1                            59132
 INC              shares
HORACE MANN       Common equity   440327104   15232    976038 SH         DEFINED    1,2,5,6,8                   976038
 EDUCATORS CORP   shares
HORMEL FOODS      Common equity   440452100  228260   7656564 SH         DEFINED    1,2,5,6,8,10,12,17,18      7656564
 CORP             shares
HOT TOPIC INC     Common equity   441339108    6885    925318 SH         DEFINED    1,2,5,6,8                   925318
                  shares
HOVNANIAN         Common equity   442487203    2821   1171866 SH         DEFINED    1,2,5,6,8                  1171866
 ENTRPRS INC      shares
 -CL A
ICAD INC          Common equity   44934S107      32     29704 SH         DEFINED    1,2                          29704
                  shares
HUANENG POWER     American        443304100     420     19674 SH         DEFINED    1,6                          19674
 INTERNATIONAL    Depository
                  Receipt
HUB GROUP INC     Common equity   443320106   32824    871643 SH         DEFINED    1,2,5,6,8                   871643
 -CL A            shares
HUDSON CITY       Common equity   443683107  161406  19707704 SH         DEFINED    1,2,5,6,8,10,12,18        19707704
 BANCORP INC      shares
HUDSON VALLEY     Common equity   444172100    4614    238907 SH         DEFINED    1,2                         238907
 HOLDING CORP     shares
HUMAN GENOME      Common Stock    444903108   94702   3858681 SH         DEFINED    1,2,5,6,8,10,12,18         3858681
 SCIENCES INC
HUNT (JB)         Common equity   445658107  130122   2763270 SH         DEFINED    1,2,5,6,8,10,12,18         2763270
 TRANSPRT SVCS    shares
 INC
HURCO             Common equity   447324104    2643     82100 SH         DEFINED    1,2                          82100
 COMPANIES INC    shares
HUTCHINSON        Common equity   448407106     102     44618 SH         DEFINED    1                            44618
 TECHNOLOGY INC   shares
IDERA             Common equity   45168K306      79     36700 SH         DEFINED    1                            36700
 PHARMACEUTICALS  shares
 INC
HYPERDYNAMICS     Common equity   448954107   18876   4389842 SH         DEFINED    1,2,6                      4389842
 CORP             shares
HYPERCOM CORP     Common equity   44913M105    8729    888166 SH         DEFINED    1,2,6                       888166
                  shares
ICU MEDICAL INC   Common equity   44930G107   10993    251735 SH         DEFINED    1,2,5,6,8                   251735
                  shares
DINEEQUITY INC    Common equity   254423106   18880    361169 SH         DEFINED    1,2,5,6,8                   361169
                  shares
MOSAIC CO         Common equity   61945C103  283707   4188743 SH         DEFINED    1,2,5,6,8,10,12,18         4188743
                  shares







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISTA              Common equity   45031X204    2570    336100 SH         DEFINED    1,2                         336100
 PHARMACEUTICALS  shares
 INC
IXIA              Common equity   45071R109    9648    753820 SH         DEFINED    1,2,5,6,8                   753820
                  shares
IBERIABANK CORP   Common equity   450828108   44178    766465 SH         DEFINED    1,2,5,6,8                   766465
                  shares
ICON PLC          American        45103T107    6297    561592 SH         DEFINED    19                               0
                  Depository
                  Receipt
ICICI BANK LTD    American        45104G104   56010   1136096 SH         DEFINED    1,2,5,6,8,18               1136096
                  Depository
                  Receipt
IDACORP INC       Common equity   451107106   72180   1827339 SH         DEFINED    1,2,5,6,8,12               1827339
                  shares
GENERAL MOLY      Common equity   370373102   19795   4437967 SH         DEFINED    1,2,6                      4437967
 INC              shares
IDEXX LABS INC    Common equity   45168D104  112306   1447871 SH         DEFINED    1,2,5,6,8,12               1447871
                  shares
IGATE CORP        Common Stock    45169U105    9158    560930 SH         DEFINED    1,2,6,8                     560930
ILLUMINA INC      Common equity   452327109  154873   2060799 SH         DEFINED    1,2,5,6,8,10,12,18         2060799
                  shares
IMATION CORP      Common equity   45245A107    6369    674599 SH         DEFINED    1,2,5,8                     674599
                  shares
IMMERSION CORP    Common equity   452521107    4777    560159 SH         DEFINED    1,2,5                       560159
                  shares
IMMUCOR INC       Common equity   452526106   43799   2145054 SH         DEFINED    1,2,5,6,8,12               2145054
                  shares
IMMUNOGEN INC     Common Stock    45253H101   28027   2299289 SH         DEFINED    1,2,5,6,8                  2299289
FUEL SYSTEMS      Common Stock    35952W103    7666    307470 SH         DEFINED    1,2,5,6,8                   307470
 SOLUTIONS INC
IMPAX             Common Stock    45256B101   40553   1861000 SH         DEFINED    1,2,5,6,8                  1861000
 LABORATORIES
 INC
IMMUNOMEDICS      Common equity   452907108    5461   1341901 SH         DEFINED    1,2,5,6,8                  1341901
 INC              shares
IMPERIAL OIL      Common equity   453038408     719     15422 SH         DEFINED    1                            15422
 LTD              shares
INCYTE CORP       Common equity   45337C102   58031   3063959 SH         DEFINED    1,2,5,6,8                  3063959
                  shares
INDEPENDENCE      Common equity   453440307     761     73120 SH         DEFINED    1,2                          73120
 HOLDING CO       shares
INDEPENDENT       Common equity   453836108   12332    469752 SH         DEFINED    1,2,5,6,8                   469752
 BANK CORP/MA     shares
MAINSOURCE        Common equity   56062Y102    4087    492132 SH         DEFINED    1,2                         492132
 FINL GROUP INC   shares
ENGLOBAL CORP     Common equity   293306106      41     13350 SH         DEFINED    1                            13350
                  shares
INFORMATICA       Common equity   45666Q102  149401   2556886 SH         DEFINED    1,2,5,6,8,12               2556886
 CORP             shares
INFOSPACE INC     Common equity   45678T300    7217    791300 SH         DEFINED    1,2,5,8                     791300
                  shares
ING GROEP NV      American        456837103     126     10160 SH         DEFINED    1                            10160
                  Depository
                  Receipt
INGLES MARKETS    Common equity   457030104    5081    306845 SH         DEFINED    1,2,5,8                     306845
 INC  -CL A       shares
INGRAM MICRO      Common equity   457153104   74532   4108847 SH         DEFINED    1,2,5,6,8,12               4108847
 INC              shares
NEKTAR            Common equity   640268108   22029   3030450 SH         DEFINED    1,2,5,6,8                  3030450
 THERAPEUTICS     shares
INNODATA          Common equity   457642205      36     13600 SH         DEFINED    1                            13600
 ISOGEN INC       shares
ION               Common equity   462044108   36245   3831689 SH         DEFINED    1,2,5,6,8                  3831689
 GEOPHYSICAL      shares
 CORP
INSIGHT           Common equity   45765U103   23036   1300396 SH         DEFINED    1,2,5,6,8                  1300396
 ENTERPRISES      shares
 INC
INSITUFORM        Common equity   457667103   17942    855391 SH         DEFINED    1,2,5,6,8                   855391
 TECHNOLOGIES-CL  shares
 A
INSMED INC        Common equity   457669307    4115    343088 SH         DEFINED    1,2,5,6                     343088
                  shares
PURE              Common equity   74621T100      25     34054 SH         DEFINED    1,2                          34054
 BIOSCIENCE INC   shares
INNOVATIVE        Common equity   45769N105      98     17782 SH         DEFINED    1                            17782
 SOLTNS & SUPP    shares
 INC
ENER1 INC         Common Stock    29267A203    1261   1146293 SH         DEFINED    1,2,6,8                    1146293
INSTEEL           Common equity   45774W108    4745    378451 SH         DEFINED    1,2,5                       378451
 INDUSTRIES       shares
JOE`S JEANS INC   Common equity   47777N101      25     28957 SH         DEFINED    1                            28957
                  shares
INTEGRA           Common equity   457985208   22068    461647 SH         DEFINED    1,2,5,6,8                   461647
 LIFESCIENCES     shares
 HLDGS
INTEGRAL          Common equity   45810H107    4172    342780 SH         DEFINED    1,2                         342780
 SYSTEMS INC      shares
INTEGRATED        Common equity   458118106   46506   5916810 SH         DEFINED    1,2,5,6,8,12               5916810
 DEVICE TECH      shares
 INC
INTEGRATED        Common Stock    45812P107    4467    461795 SH         DEFINED    1,2                         461795
 SILICON
 SOLUTION
INTER PARFUMS     Common equity   458334109    7024    304997 SH         DEFINED    1,2                         304997
 INC              shares
ARROWHEAD         Common Stock    042797100      13     26200 SH         DEFINED    1                            26200
 RESEARCH CORP
INTERACTIVE       Common Stock    45841V109    9697    276570 SH         DEFINED    1,2,5,6                     276570
 INTELLIGENCE
 GRP
INTERFACE INC     Common Stock    458665106   22245   1148533 SH         DEFINED    1,2,5,6,8                  1148533
 -CL A
INTERDIGITAL      Common equity   45867G101   41711   1021091 SH         DEFINED    1,2,5,6,8                  1021091
 INC              shares
INTERNAP          Common equity   45885A300    9895   1346493 SH         DEFINED    1,2,5,6,8                  1346493
 NETWORK SVCS     shares
 CORP
INTERMUNE INC     Common equity   45884X103   94370   2632380 SH         DEFINED    1,2,5,6,8                  2632380
                  shares
INTL FCSTONE      Common Stock    46116V105    6973    288000 SH         DEFINED    1,2,6,8                     288000
 INC
INTL              Common equity   459044103   32484   1941799 SH         DEFINED    1,2,5,6,8,12               1941799
 BANCSHARES       shares
 CORP
INTL RECTIFIER    Common equity   460254105   55802   1995090 SH         DEFINED    1,2,5,6,8,12               1995090
 CORP             shares
IRIS              Common Stock    46270W105    3145    314704 SH         DEFINED    1,2                         314704
 INTERNATIONAL
 INC
INTL              Common equity   460321201    2400    112795 SH         DEFINED    1,2,17                      112795
 SHIPHOLDING      shares
 CORP
INTL SPEEDWAY     Common equity   460335201   26943    948386 SH         DEFINED    1,2,5,6,8,12                948386
 CORP  -CL A      shares
ICG GROUP INC     Common Stock    44928D108    8482    693698 SH         DEFINED    1,2,6,8                     693698
EASYLINK          Common equity   277858106      71     12200 SH         DEFINED    1                            12200
 SERVICES INTL    shares
 CORP
INTERSIL CORP     Common equity   46069S109   43226   3364186 SH         DEFINED    1,2,5,6,8,10,12            3364186
 -CL A            shares
INTEVAC INC       Common Stock    461148108    5010    490665 SH         DEFINED    1,2,5,8                     490665
ARDEA             Common Stock    03969P107   11650    457565 SH         DEFINED    1,2,6,8                     457565
 BIOSCIENCES
 INC
INVACARE CORP     Common equity   461203101   26886    810067 SH         DEFINED    1,2,5,6,8,17                810067
                  shares
INTUITIVE         Common equity   46120E602  520364   1398443 SH         DEFINED    1,2,5,6,8,10,12,18         1398443
 SURGICAL INC     shares
INVESTMENT        Common equity   46145F105   17457   1244986 SH         DEFINED    1,2,5,6,8                  1244986
 TECHNOLOGY GP    shares
 INC
INVESTORS REAL    Real Estate     461730103   14784   1707441 SH         DEFINED    1,2,3,5,6,8                1707441
 ESTATE TRUST     Investment
                  Trust
IRON MOUNTAIN     Common equity   462846106  232911   6832400 SH         DEFINED    1,2,5,6,8,10,12,18         6832400
 INC              shares
ISIS              Common Stock    464330109   27553   3007911 SH         DEFINED    1,2,5,6,8                  3007911
 PHARMACEUTICALS
 INC
ISLE OF CAPRI     Common equity   464592104    3243    366701 SH         DEFINED    1,2,5,6                     366701
 CASINOS INC      shares
ARCELORMITTAL     Similar to      03938L104     226      6500 SH         DEFINED    1                             6500
 SA               ADR
                  Certificates
                  representing
                  ordinary shares
ISRAMCO INC       Common equity   465141406    1111     16765 SH         DEFINED    1,2                          16765
                  shares
ITRON INC         Common equity   465741106   50560   1049942 SH         DEFINED    1,2,5,6,8,12               1049942
                  shares
IXYS CORP         Common Stock    46600W106    9138    610229 SH         DEFINED    1,2,5,6                     610229
J & J SNACK       Common equity   466032109   16268    326257 SH         DEFINED    1,2,5,6,8                   326257
 FOODS CORP       shares
JDA SOFTWARE      Common Stock    46612K108   28109    910141 SH         DEFINED    1,2,5,6,8                   910141
 GROUP INC
EPOCH HOLDING     Common Stock    29428R103    4718    264451 SH         DEFINED    1,2,6,17                    253891         10560
 CORP
J2 GLOBAL         Common equity   46626E205   27726    982180 SH         DEFINED    1,2,5,6,8                   982180
 COMMUNICATIONS   shares
 INC
JACK IN THE       Common equity   466367109   25255   1108575 SH         DEFINED    1,2,5,6,8                  1108575
 BOX INC          shares
JACOBS            Common equity   469814107  199893   4621505 SH         DEFINED    1,2,5,6,8,10,12,18         4621505
 ENGINEERING      shares
 GROUP INC
JAKKS PACIFIC     Common equity   47012E106   13326    723852 SH         DEFINED    1,2,5,6,8                   723852
 INC              shares
JOHNSON           Common equity   479167108    1004     58658 SH         DEFINED    1,2                          58658
 OUTDOORS INC     shares
 -CL A
JONES LANG        Common equity   48020Q107  102284   1084695 SH         DEFINED    1,2,3,5,6,8,12             1084695
 LASALLE INC      shares
JOS A BANK        Common equity   480838101   35854    716901 SH         DEFINED    1,2,5,6,8                   716901
 CLOTHIERS INC    shares
KMG CHEMICALS     Common Stock    482564101    1678     99720 SH         DEFINED    1,2,17                       91410          8310
 INC
K-SWISS INC       Common equity   482686102    5923    557000 SH         DEFINED    1,2,5,6,8                   557000
 -CL A            shares
KVH INDUSTRIES    Common Stock    482738101    2795    262917 SH         DEFINED    1,2                         262917
 INC
K V               Common equity   482740206    1732    636788 SH         DEFINED    1,2                         636788
 PHARMACEUTICAL   shares
 -CL A
KAMAN CORP        Common equity   483548103   19968    562937 SH         DEFINED    1,2,5,6,8                   562937
                  shares
FURMANITE CORP    Common equity   361086101    5316    669280 SH         DEFINED    1,2,6                       669280
                  shares
KANSAS CITY       Common equity   484836101    3718    119367 SH         DEFINED    1,2,8                       119367
 LIFE INS CO      shares
GREAT PLAINS      Common equity   391164100   68023   3281598 SH         DEFINED    1,2,5,6,8,12,17            3281598
 ENERGY INC       shares
KANSAS CITY       Common equity   485170302  157292   2651164 SH         DEFINED    1,2,5,6,8,12               2651164
 SOUTHERN         shares
KAYDON CORP       Common equity   486587108   29492    790354 SH         DEFINED    1,2,5,6,8                   790354
                  shares
KELLY SERVICES    Common equity   488152208   10336    626461 SH         DEFINED    1,2,5,6,8                   626461
 INC  -CL A       shares
KEMET CORP        Common Stock    488360207   10766    753242 SH         DEFINED    1,2,6,8                     753242
KENDLE            Common equity   48880L107    5082    336885 SH         DEFINED    1,2,8                       336885
 INTERNATIONAL    shares
 INC
KENNAMETAL INC    Common equity   489170100   95113   2253280 SH         DEFINED    1,2,5,6,8,12               2253280
                  shares
KENNEDY-WILSON    Common Stock    489398107    4630    377988 SH         DEFINED    1,2,6,17                    367978         10010
 HOLDINGS INC
KENSEY NASH       Common equity   490057106    5424    214778 SH         DEFINED    1,2,6,8                     214778
 CORP             shares
KERYX             Common equity   492515101    4896   1035909 SH         DEFINED    1,2                        1035909
 BIOPHARMACEUTICA shares
 INC
KEYNOTE           Common Stock    493308100    6341    293179 SH         DEFINED    1,2                         293179
 SYSTEMS INC
KFORCE INC        Common equity   493732101    8456    646057 SH         DEFINED    1,2,5,6,8                   646057
                  shares
MAGNUM HUNTER     Common Stock    55973B102   20265   2998011 SH         DEFINED    1,2,6                      2998011
 RESOURCES CORP
KIMBALL           Common equity   494274103    4829    751039 SH         DEFINED    1,2,8                       751039
 INTERNATIONAL    shares
 -CL B
KILROY REALTY     Real Estate     49427F108   78590   1990182 SH         DEFINED    1,2,3,5,6,8                1990182
 CORP             Investment
                  Trust
KINDER MORGAN     Limited         494550106   40445    557103 SH         DEFINED    1,8                         557103
 ENERGY  -LP      Partnership
KIRBY CORP        Common equity   497266106   80904   1427679 SH         DEFINED    1,2,5,6,8,12               1427679
                  shares
KNIGHT CAPITAL    Common Stock    499005106   26222   2379480 SH         DEFINED    1,2,5,6,8                  2379480
 GROUP INC
KNIGHT            Common equity   499064103   23994   1412099 SH         DEFINED    1,2,5,6,8                  1412099
 TRANSPORTATION   shares
 INC
XO GROUP INC      Common Stock    983772104    6506    653548 SH         DEFINED    1,2,5,6,8                   653548
KOPIN CORP        Common Stock    500600101    6500   1380643 SH         DEFINED    1,2,5,6,8                  1380643
KT CORP           American        48268K101   12522   1181690 SH         DEFINED    1,2,5,6,19                  155853
                  Depository
                  Receipt
KORN/FERRY        Common equity   500643200   32362   1471762 SH         DEFINED    1,2,5,6,8,12               1471762
 INTERNATIONAL    shares
KRISPY KREME      Common equity   501014104   11001   1156931 SH         DEFINED    1,2,6                      1156931
 DOUGHNUTS INC    shares
SUNLINK HEALTH    Common equity   86737U102      26     13400 SH         DEFINED    1                            13400
 SYSTEMS INC      shares
KUBOTA CORP       American        501173207     230      5180 SH         DEFINED    1                             5180
                  Depository
                  Receipt
KULICKE &         Common Stock    501242101   16754   1504064 SH         DEFINED    1,2,6,8                    1504064
 SOFFA
 INDUSTRIES
LAN AIRLINES SA   American        501723100   17315    607084 SH         DEFINED    1,2,5,6                     607084
                  Depository
                  Receipt
LCA VISION INC    Common equity   501803308     157     33642 SH         DEFINED    1,2                          33642
                  shares
LMI AEROSPACE     Common equity   502079106    4895    200384 SH         DEFINED    1,2                         200384
 INC              shares
NEWBRIDGE         Common equity   65080T102      62     13538 SH         DEFINED    1                            13538
 BANCORP          shares
LSB INDUSTRIES    Common equity   502160104   15531    361849 SH         DEFINED    1,2,6,8                     361849
 INC              shares
LSI INDUSTRIES    Common equity   50216C108    2805    353203 SH         DEFINED    1,2                         353203
 INC              shares
LTC PROPERTIES    Real Estate     502175102   19543    702412 SH         DEFINED    1,2,3,5,6,8                 702412
 INC              Investment
                  Trust
LA-Z-BOY INC      Common equity   505336107   20778   2105165 SH         DEFINED    1,2,6,8                    2105165
                  shares
TRUEBLUE INC      Common equity   89785X101   15215   1050963 SH         DEFINED    1,2,5,6,8                  1050963
                  shares
LACLEDE GROUP     Common equity   505597104   21407    565929 SH         DEFINED    1,2,5,6,8,17                560559          5370
 INC              shares
ENBRIDGE          Limited         29250R106    8267    274925 SH         DEFINED    1,8                         274925
 ENERGY           Partnership
 PRTNRS  -LP
LAKELAND          Common equity   511637100    4026    403227 SH         DEFINED    1,2,8                       403227
 BANCORP INC      shares
LAKELAND          Common equity   511656100    7274    326689 SH         DEFINED    1,2,8                       326689
 FINANCIAL CORP   shares
LAKES             Common equity   51206P109      24     10600 SH         DEFINED    1                            10600
 ENTERTAINMENT    shares
 INC
LAMAR             Common equity   512815101   42665   1558840 SH         DEFINED    1,2,5,6,8,12               1558840
 ADVERTISING      shares
 CO  -CL A
SNYDERS-LANCE     Common equity   833551104   19877    918958 SH         DEFINED    1,2,5,6,8                   918958
 INC              shares
LANDEC CORP       Common equity   514766104    3119    472342 SH         DEFINED    1,2                         472342
                  shares
LANDAUER INC      Common equity   51476K103   13945    226516 SH         DEFINED    1,2,5,6,8                   226516
                  shares
LANDSTAR          Common equity   515098101   57675   1240771 SH         DEFINED    1,2,5,6,8,12               1240771
 SYSTEM INC       shares
LANNETT CO INC    Common equity   516012101     815    164858 SH         DEFINED    1,2                         164858
                  shares
LATTICE           Common Stock    518415104   21246   3258525 SH         DEFINED    1,2,5,6,8                  3258525
 SEMICONDUCTOR
 CORP
LAWSON PRODUCTS   Common equity   520776105    2287    116303 SH         DEFINED    1,2                         116303
                  shares
LAYNE             Common equity   521050104   12635    416479 SH         DEFINED    1,2,5,6,8                   416479
 CHRISTENSEN CO   shares
LECROY CORP       Common equity   52324W109    2539    211000 SH         DEFINED    1,2                         211000
                  shares
LEE               Common equity   523768109      25     28493 SH         DEFINED    1                            28493
 ENTERPRISES      shares
 INC
LENNOX            Common equity   526107107   77281   1794199 SH         DEFINED    1,2,5,6,8,12               1794199
 INTERNATIONAL    shares
 INC
LEUCADIA          Common equity   527288104  246573   7230937 SH         DEFINED    1,2,5,6,8,10,12,18         7230937
 NATIONAL CORP    shares
LEXICON           Common Stock    528872104    8312   4723783 SH         DEFINED    1,2,5,6                    4723783
 PHARMACEUTICALS
 INC
LEXINGTON         Real Estate     529043101   31588   3459838 SH         DEFINED    1,2,3,5,6,8                3459838
 REALTY TRUST     Investment
                  Trust
LIBBEY INC        Common Stock    529898108    6154    379291 SH         DEFINED    1,2,6                       379291
FIRST             Common equity   318457108      22     11846 SH         DEFINED    1                            11846
 ACCEPTANCE       shares
 CORP
LIFEWAY FOODS     Common equity   531914109     966     86411 SH         DEFINED    1,2                          86411
 INC              shares
LIFETIME          Common equity   53222Q103    2102    179091 SH         DEFINED    1,2                         179091
 BRANDS INC       shares
LIFEPOINT         Common equity   53219L109   52965   1355256 SH         DEFINED    1,2,5,6,8,12               1355256
 HOSPITALS INC    shares
LIGAND            Common equity   53220K504    4345    363508 SH         DEFINED    1,2,6,8                     363508
 PHARMACEUTICAL   shares
 INC
LIGHTPATH         Common equity   532257805      23     15095 SH         DEFINED    1,2                          15095
 TECHNOLOGIES     shares
 INC
LIMONEIRA CO      Common equity   532746104    2870    127037 SH         DEFINED    1,2                         127037
                  shares
LINCOLN           Common equity   533900106   79329   2212623 SH         DEFINED    1,2,5,6,8,12               2212623
 ELECTRIC         shares
 HLDGS INC
LINDSAY CORP      Common equity   535555106   18645    270936 SH         DEFINED    1,2,5,6,8                   270936
                  shares
LIONS GATE        Common equity   535919203    7173   1084155 SH         DEFINED    1,2,5,6,8                  1084155
 ENTERTAINMENT    shares
 CP
LIONBRIDGE        Common equity   536252109    3579   1125531 SH         DEFINED    1,2                        1125531
 TECHNOLOGIES     shares
 INC
LITHIA MOTORS     Common equity   536797103    8292    422274 SH         DEFINED    1,2                         422274
 INC  -CL A       shares
LITTELFUSE INC    Common equity   537008104   33687    573651 SH         DEFINED    1,2,5,6,8,17                573651
                  shares
LIVEPERSON INC    Common equity   538146101   12814    906186 SH         DEFINED    1,2,5,6,8                   906186
                  shares
LOJACK CORP       Common equity   539451104     160     37081 SH         DEFINED    1,2                          37081
                  shares
LODGENET          Common equity   540211109      51     16789 SH         DEFINED    1                            16789
 INTERACTIVE      shares
 CORP
LOOKSMART LTD     Common equity   543442503      17     11030 SH         DEFINED    1                            11030
                  shares
LUBYS INC         Common equity   549282101    1177    212821 SH         DEFINED    1,2                         212821
                  shares
LUFKIN            Common equity   549764108   70287    816802 SH         DEFINED    1,2,5,6,8                   816802
 INDUSTRIES INC   shares
LUMINEX CORP      Common Stock    55027E102   15957    763462 SH         DEFINED    1,2,5,6,8                   763462
LUXOTTICA         American        55068R202     266      8280 SH         DEFINED    1                             8280
 GROUP SPA        Depository
                  Receipt
LYDALL INC        Common equity   550819106    3515    293621 SH         DEFINED    1,2                         293621
                  shares
M & F             Common equity   552541104    6268    242462 SH         DEFINED    1,2,5,6,8                   242462
 WORLDWIDE CORP   shares
MB FINANCIAL      Common equity   55264U108   33740   1753650 SH         DEFINED    1,2,5,6,8                  1753650
 INC/MD           shares
MDC HOLDINGS      Common equity   552676108   55406   2248733 SH         DEFINED    1,2,5,6,8,12               2248733
 INC              shares
MDC PARTNERS      Common Stock    552697104    7258    401800 SH         DEFINED    1,2,6                       401800
 INC
MDU RESOURCES     Common equity   552690109  126701   5630564 SH         DEFINED    1,2,5,6,8,10,12,18         5630564
 GROUP INC        shares
ENCORE CAPITAL    Common equity   292554102    8650    281605 SH         DEFINED    1,2,5,6,8                   281605
 GROUP INC        shares
TERRA NOVA        Common Stock    88102D103     111     14678 SH         DEFINED    1,5,6                        14678
 ROYALTY CORP
MGM RESORTS       Common equity   552953101   68006   5148098 SH         DEFINED    1,2,5,6,8,10,12,18         5148098
 INTERNATIONAL    shares
BIOSCRIP INC      Common Stock    09069N108    4725    728505 SH         DEFINED    1,2                         728505
M/I HOMES INC     Common equity   55305B101    4955    404623 SH         DEFINED    1,2,8                       404623
                  shares
MKS               Common equity   55306N104   30321   1147765 SH         DEFINED    1,2,5,6,8                  1147765
 INSTRUMENTS      shares
 INC
MSC INDUSTRIAL    Common equity   553530106   75084   1132286 SH         DEFINED    1,2,5,6,8,12               1132286
 DIRECT  -CL A    shares
MTR GAMING        Common equity   553769100      52     17339 SH         DEFINED    1                            17339
 GROUP INC        shares
MTS SYSTEMS       Common equity   553777103   14026    335259 SH         DEFINED    1,2,5,6,8                   335259
 CORP             shares
MAC-GRAY CORP     Common equity   554153106    3244    210011 SH         DEFINED    1,2                         210011
                  shares
MACATAWA BANK     Common equity   554225102      37     13222 SH         DEFINED    1                            13222
 CORP             shares
MACK-CALI         Real Estate     554489104  103516   3142618 SH         DEFINED    1,2,3,5,6,8,12             3142618
 REALTY CORP      Investment
                  Trust
ROVI CORP         Common equity   779376102  160206   2793103 SH         DEFINED    1,2,5,6,8,12               2793103
                  shares
MADDEN STEVEN     Common equity   556269108   29797    794379 SH         DEFINED    1,2,5,6,8                   794379
 LTD              shares
MGE ENERGY INC    Common equity   55277P104   20008    493634 SH         DEFINED    1,2,5,6,8,17                493634
                  shares
MAGELLAN          Common equity   559079207   47236    862999 SH         DEFINED    1,2,5,6,8                   862999
 HEALTH           shares
 SERVICES INC
MAGELLAN          Common equity   559091301      32     19023 SH         DEFINED    1                            19023
 PETROLEUM CORP   shares
MAGNETEK INC      Common equity   559424106      33     18506 SH         DEFINED    1                            18506
                  shares
CENVEO INC        Common equity   15670S105    7119   1112440 SH         DEFINED    1,2,5,6,8                  1112440
                  shares
MANITOWOC CO      Common equity   563571108   30695   1823017 SH         DEFINED    1,2,5,6,8,10               1823017
                  shares
MANNATECH INC     Common equity   563771104      10     11000 SH         DEFINED    1                            11000
                  shares
EQUITY            Real Estate     29472R108   64355   1030684 SH         DEFINED    1,2,3,5,6,8                1030684
 LIFESTYLE        Investment
 PROPERTIES       Trust
MANULIFE          Common equity   56501R106     772     43754 SH         DEFINED    1                            43754
 FINANCIAL CORP   shares







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MARCUS CORP       Common equity   566330106    4656    471024 SH         DEFINED    1,2,5,8                     471024
                  shares
MARINEMAX INC     Common equity   567908108    3366    383908 SH         DEFINED    1,2                         383908
                  shares
MARINE            Common equity   568427108    1239    184520 SH         DEFINED    1,2                         184520
 PRODUCTS CORP    shares
MARKEL CORP       Common equity   570535104   52437    132137 SH         DEFINED    1,2,5,6,8,12                132137
                  shares
MARTEN            Common equity   573075108    6828    316228 SH         DEFINED    1,2,6,8                     316228
 TRANSPORT LTD    shares
MARTHA STEWART    Common equity   573083102    2329    537320 SH         DEFINED    1,2,6                       537320
 LIVING OMNIMD    shares
MARTIN            Common equity   573284106  102687   1284039 SH         DEFINED    1,2,5,6,8,10,12,18         1284039
 MARIETTA         shares
 MATERIALS
MASTEC INC        Common equity   576323109   23433   1188105 SH         DEFINED    1,2,5,6,8                  1188105
                  shares
MATRIX SERVICE    Common Stock    576853105    7637    570702 SH         DEFINED    1,2,5,6,8                   570702
 CO
PANASONIC CORP    American        69832A205     165     13510 SH         DEFINED    1                            13510
                  Depository
                  Receipt
MATTHEWS INTL     Common equity   577128101   42924   1069298 SH         DEFINED    1,2,5,6,8,12               1069298
 CORP  -CL A      shares
MATTSON           Common equity   577223100      73     38294 SH         DEFINED    1                            38294
 TECHNOLOGY INC   shares
EPICEPT CORP      Common equity   294264304       8     17045 SH         DEFINED    1                            17045
                  shares
MAXWELL           Common Stock    577767106    8447    521605 SH         DEFINED    1,2,5,6,8                   521605
 TECHNOLOGIES
 INC
MAXYGEN INC       Common Stock    577776107    2752    503729 SH         DEFINED    1,2                         503729
MAXIMUS INC       Common equity   577933104   33762    408220 SH         DEFINED    1,2,5,6,8,17                408220
                  shares
MBT FINANCIAL     Common equity   578877102      20     14467 SH         DEFINED    1                            14467
 CORP             shares
MCCLATCHY CO      Common equity   579489105    3210   1143645 SH         DEFINED    1,2,8                      1143645
 -CL A            shares
MCDERMOTT INTL    Common equity   580037109   70445   3555883 SH         DEFINED    1,2,5,6,8,10,12            3555883
 INC              shares
MCGRATH           Common equity   580589109   14397    512607 SH         DEFINED    1,2,5,6,8                   512607
 RENTCORP         shares
MCMORAN           Common equity   582411104   44416   2403386 SH         DEFINED    1,2,5,6,8                  2403386
 EXPLORATION CO   shares
MEADOWBROOK       Common equity   58319P108   14320   1444718 SH         DEFINED    1,2,6,8                    1444718
 INS GROUP INC    shares
MEASUREMENT       Common equity   583421102   10349    289870 SH         DEFINED    1,2,6                       289870
 SPECIALTIES      shares
 INC
MEDALLION         Common equity   583928106    2711    277884 SH         DEFINED    1,2                         277884
 FINANCIAL CORP   shares
MEDIA GENERAL     Common equity   584404107      67     17690 SH         DEFINED    1                            17690
 -CL A            shares
MEDICAL ACTION    Common equity   58449L100    2824    346756 SH         DEFINED    1,2                         346756
 INDUSTRIES       shares
PROASSURANCE      Common equity   74267C106   52328    747536 SH         DEFINED    1,2,5,6,8                   747536
 CORP             shares
MEDICINES CO      Common equity   584688105   21472   1300530 SH         DEFINED    1,2,5,6,8                  1300530
                  shares
MEDICIS           Common equity   584690309   90362   2367387 SH         DEFINED    1,2,5,6,8,12               2367387
 PHARMACEUT       shares
 CP  -CL A
MEDIFAST INC      Common equity   58470H101    6858    289195 SH         DEFINED    1,2,6,8                     289195
                  shares
MEDTOX            Common equity   584977201    1782    102112 SH         DEFINED    1,2                         102112
 SCIENTIFIC INC   shares
MENS WEARHOUSE    Common equity   587118100   46566   1381803 SH         DEFINED    1,2,5,6,8                  1381803
 INC              shares
MENTOR            Common equity   587200106   45666   3565116 SH         DEFINED    1,2,5,6,8,12               3565116
 GRAPHICS CORP    shares
MERCHANTS         Common Stock    588448100    2362     96511 SH         DEFINED    1,2,17                       96511
 BANCSHARES
 INC/VT
MERCURY           Common equity   589378108   11249    602145 SH         DEFINED    1,2,6,8                     602145
 COMPUTER         shares
 SYSTEMS INC
MERCURY           Common equity   589400100   73378   1858129 SH         DEFINED    1,2,5,6,8,12               1858129
 GENERAL CORP     shares
MERIDIAN          Common equity   589584101   20257    840221 SH         DEFINED    1,2,5,6,8                   840221
 BIOSCIENCE INC   shares
MERIT MEDICAL     Common equity   589889104   13801    768141 SH         DEFINED    1,2,5,6,8                   768141
 SYSTEMS INC      shares
MERGE             Common Stock    589499102    4655    894379 SH         DEFINED    1,2,6                       894379
 HEALTHCARE INC
MERITAGE HOMES    Common equity   59001A102   14460    640865 SH         DEFINED    1,2,5,6,8                   640865
 CORP             shares
MET-PRO CORP      Common equity   590876306    3024    265878 SH         DEFINED    1,2                         265878
                  shares
SILVER BULL       Common equity   827458100      23     34300 SH         DEFINED    1                            34300
 RESOURCES INC    shares
METHODE           Common equity   591520200   10546    908340 SH         DEFINED    1,2,5,8                     908340
 ELECTRONICS      shares
 INC
POWERSECURE       Common equity   73936N105    2425    336523 SH         DEFINED    1,2,5                       336523
 INTL INC         shares
METROPOLITAN      Common equity   592142103    4135    863354 SH         DEFINED    1,2,5                       863354
 HLTH NTWRKS      shares
 INC
MICREL INC        Common equity   594793101   13793   1304041 SH         DEFINED    1,2,5,6,8                  1304041
                  shares
MICROVISION INC   Common equity   594960106    2107   1727514 SH         DEFINED    1,2                        1727514
                  shares
MICROSTRATEGY     Common equity   594972408   30791    189239 SH         DEFINED    1,2,5,6,8                   189239
 INC              shares
MICROSEMI CORP    Common equity   595137100   43179   2106389 SH         DEFINED    1,2,5,6,8                  2106389
                  shares
MID-AMERICA       Real Estate     59522J103   83879   1243211 SH         DEFINED    1,2,3,5,6,8                1243211
 APT CMNTYS INC   Investment
                  Trust
MIDAS INC         Common equity   595626102     176     28069 SH         DEFINED    1,2                          28069
                  shares
MIDDLEBY CORP     Common equity   596278101   38058    404690 SH         DEFINED    1,2,5,6,8                   404690
                  shares
MIDDLESEX         Common equity   596680108    5662    304579 SH         DEFINED    1,2,5                       304579
 WATER CO         shares
MIDSOUTH          Common equity   598039105    1597    117227 SH         DEFINED    1,2                         117227
 BANCORP INC      shares
MGP               Common equity   55302G103    1502    172470 SH         DEFINED    1,2                         172470
 INGREDIENTS      shares
 INC
MILLER            Common equity   600544100   50062   1839156 SH         DEFINED    1,2,5,6,8,12,17            1830522          8634
 (HERMAN) INC     shares
MILLER            Common equity   600551204    3178    170064 SH         DEFINED    1,2                         170064
 INDUSTRIES       shares
 INC/TN
MILLER ENERGY     Common equity   600527105    2011    314205 SH         DEFINED    1,2                         314205
 RESOURCES INC    shares
MINE SAFETY       Common equity   602720104   37342   1000040 SH         DEFINED    1,2,5,6,8,12               1000040
 APPLIANCES CO    shares
MINERALS          Common equity   603158106   45376    684482 SH         DEFINED    1,2,5,6,8,12                684482
 TECHNOLOGIES     shares
 INC
MINES             Common equity   603432105      26     12400 SH         DEFINED    1                            12400
 MANAGEMENT INC   shares
MIPS              Common equity   604567107    9420   1363467 SH         DEFINED    1,2,6,8                    1363467
 TECHNOLOGIES     shares
 INC
MISSION WEST      Real Estate     605203108    3251    370547 SH         DEFINED    1,2,5                       370547
 PROPERTIES INC   Investment
                  Trust
MITCHAM           Common equity   606501104    2619    151359 SH         DEFINED    1,2                         151359
 INDUSTRIES INC   shares
MOBILE MINI INC   Common equity   60740F105   16620    784311 SH         DEFINED    1,2,5,6,8                   784311
                  shares
IGO INC           Common equity   449593102      33     20476 SH         DEFINED    1                            20476
                  shares
MODINE            Common equity   607828100   14661    953533 SH         DEFINED    1,2,5,6,8                   953533
 MANUFACTURING    shares
 CO
MOLEX INC         Common equity   608554200    3862    179844 SH         DEFINED    1,2,5,8,12                  179844
                  shares
MONARCH CASINO    Common equity   609027107    2226    213305 SH         DEFINED    1,2                         213305
 & RESORT INC     shares
MONMOUTH RE       REIT            609720107    4335    513096 SH         DEFINED    1,2,5                       513096
 INVESTMENT CP
MONRO MUFFLER     Common equity   610236101   31929    856188 SH         DEFINED    1,2,5,6,8                   856188
 BRAKE INC        shares
MOOG INC  -CL A   Common equity   615394202   45189   1038340 SH         DEFINED    1,2,5,6,8                  1038340
                  shares
DESTINATION       Common Stock    25065D100    4384    219293 SH         DEFINED    1,2,5                       219293
 MATERNITY CORP
MOTORCAR PARTS    Common Stock    620071100    2303    153286 SH         DEFINED    1,2                         153286
 OF AMER INC
MOVADO GROUP      Common equity   624580106    5967    348782 SH         DEFINED    1,2,8                       348782
 INC              shares
MUELLER           Common equity   624756102   36063    951348 SH         DEFINED    1,2,5,6,8,17                947018          4330
 INDUSTRIES       shares
MULTI-COLOR       Common equity   625383104    6104    247354 SH         DEFINED    1,2                         247354
 CORP             shares
MULTIMEDIA        Common equity   625453105    2662    585277 SH         DEFINED    1,2                         585277
 GAMES HOLDING    shares
 CO
MURPHY OIL CORP   Common equity   626717102  529575   8065309 SH         DEFINED    1,2,5,6,8,10,12,17,18      8065309
                  shares
MYERS             Common equity   628464109    7170    697679 SH         DEFINED    1,2,5,8                     697679
 INDUSTRIES INC   shares
N B T BANCORP     Common equity   628778102   17578    794322 SH         DEFINED    1,2,5,6,8                   794322
 INC              shares
NCI BUILDING      Common equity   628852204    4728    415006 SH         DEFINED    1,2                         415006
 SYSTEMS INC      shares
NL INDUSTRIES     Common equity   629156407    2587    140832 SH         DEFINED    1,2                         140832
                  shares
NN INC            Common equity   629337106    3341    223600 SH         DEFINED    1,2                         223600
                  shares
NTT DOCOMO INC    American        62942M201     652     36440 SH         DEFINED    1,2                          36440
                  Depository
                  Receipt
NVE CORP          Common equity   629445206    5698     97481 SH         DEFINED    1,2                          97481
                  shares
NACCO             Common equity   629579103   13768    142215 SH         DEFINED    1,2,5,6,8,17                140460          1755
 INDUSTRIES       shares
 -CL A
NAM TAI           Common equity   629865205      77     14069 SH         DEFINED    1,5,6                        14069
 ELECTRONIC       shares
NANOMETRICS INC   Common Stock    630077105    7742    407994 SH         DEFINED    1,2                         407994
NANOPHASE         Common Stock    630079101      15     12201 SH         DEFINED    1                            12201
 TECHNOLOGIES
 CORP
NAPCO SECURITY    Common equity   630402105      36     12100 SH         DEFINED    1                            12100
 TECH INC         shares
NARA BANCORP      Common equity   63080P105    6577    809237 SH         DEFINED    1,2,5,6,8                   809237
 INC              shares
NASH FINCH CO     Common equity   631158102   13443    375455 SH         DEFINED    1,2,5,8,17                  375455
                  shares
MARINA BIOTECH    Common equity   56804Q102       2     13157 SH         DEFINED    1                            13157
 INC              shares
NATHAN`S          Common equity   632347100     288     15258 SH         DEFINED    1,17                          2500         12758
 FAMOUS INC       shares
NATIONAL BANK     American        633643408     405    283417 SH         DEFINED    1,2                         283417
 OF GREECE        Depository
                  Receipt
NATIONAL          Common equity   634865109    3317    132415 SH         DEFINED    1,2,17                      132415
 BANKSHARES       shares
 INC VA
NATIONAL          Common equity   635017106    3381    230892 SH         DEFINED    1,2,6,8                     230892
 BEVERAGE CORP    shares
NATIONAL          Common equity   635906100    9789    197458 SH         DEFINED    1,2,5,8,17                  197458
 HEALTHCARE       shares
 CORP
NATIONAL FUEL     Common equity   636180101  211315   2902752 SH         DEFINED    1,2,5,6,8,12               2902752
 GAS CO           shares
NATIONAL          Real Estate     63633D104   25879    582405 SH         DEFINED    1,2,3,5,6,8                 582405
 HEALTH           Investment
 INVESTORS        Trust
NIC INC           Common equity   62914B100   14978   1112836 SH         DEFINED    1,2,6,8                    1112836
                  shares
FIRST CALIF       Common equity   319395109      57     16121 SH         DEFINED    1                            16121
 FINL GROUP INC   shares
NATIONAL          Common equity   637071101 1377921  17618212 SH         DEFINED    1,2,5,6,8,10,12,18        17618212
 OILWELL VARCO    shares
 INC
NATIONAL PENN     Common equity   637138108   35015   4415728 SH         DEFINED    1,2,5,6,8                  4415728
 BANCSHARES INC   shares
NATIONAL          Common equity   637215104   12250    120774 SH         DEFINED    1,2,5,6,8,17                120774
 PRESTO INDS      shares
 INC
NATIONAL          Common equity   637372103     899     24580 SH         DEFINED    1,2                          24580
 RESEARCH CORP    shares
NATIONAL          Common equity   638522102    6719     42106 SH         DEFINED    1,2,8                        42106
 WESTERN LIFE     shares
 -CL A
NATIONWIDE        Real Estate     638620104  186126   4494709 SH         DEFINED    1,2,3,5,6,8,12             4494709
 HEALTH PPTYS     Investment
 INC              Trust
NAVIGATORS        Common equity   638904102   12887    274193 SH         DEFINED    1,2,5,6,8                   274193
 GROUP INC        shares
NATURES           Common Stock    639027101    2152    110302 SH         DEFINED    1,2                         110302
 SUNSHINE
 PRODS INC
NAVARRE CORP      Common equity   639208107      48     24656 SH         DEFINED    1                            24656
                  shares
BPZ RESOURCES     Common Stock    055639108   14222   4336269 SH         DEFINED    1,2,5,6,8                  4336269
 INC
NAVIGANT          Common equity   63935N107   11305   1077590 SH         DEFINED    1,2,5,6,8                  1077590
 CONSULTING INC   shares
NEOGEN CORP       Common equity   640491106   22641    500755 SH         DEFINED    1,2,5,6,8                   500755
                  shares
NEOPROBE CORP     Common Stock    640518106    4197   1263500 SH         DEFINED    1,2,6                      1263500
PONIARD           Common Stock    732449301       4     19077 SH         DEFINED    1                            19077
 PHARMACEUTICALS
 INC
SPECTRUM          Common Stock    84763A108   28761   3104510 SH         DEFINED    1,2,6                      3104510
 PHARMACEUTICALS
 INC
NET 1 UEPS        Common equity   64107N206     160     18400 SH         DEFINED    1,5,8                        18400
 TECHNOLOGIES     shares
 INC
NETEASE.COM INC   American        64110W102    8448    187382 SH         DEFINED    1,2,6                       187382
                  Depository
                  Receipt
8X8 INC           Common equity   282914100    3972    811900 SH         DEFINED    1,2                         811900
                  shares
NETSOL            Common equity   64115A204      42     23960 SH         DEFINED    1                            23960
 TECHNOLOGIES     shares
 INC
NETSCOUT          Common equity   64115T104   15814    756939 SH         DEFINED    1,2,5,6,8                   756939
 SYSTEMS INC      shares
NETWORK           Common Stock    641208103     110     50015 SH         DEFINED    1,2,5                        50015
 EQUIPMENT
 TECH INC
NETWORK           Common equity   64121A107      27     24519 SH         DEFINED    1                            24519
 ENGINES INC      shares
FALCONSTOR        Common equity   306137100    2749    613695 SH         DEFINED    1,2                         613695
 SOFTWARE INC     shares
UNITED ONLINE     Common equity   911268100   13115   2175031 SH         DEFINED    1,2,5,6,8                  2175031
 INC              shares
NEUROCRINE        Common equity   64125C109   10495   1303939 SH         DEFINED    1,2,6,8                    1303939
 BIOSCIENCES      shares
 INC
NEVADA GOLD &     Common equity   64126Q206      20     14982 SH         DEFINED    1                            14982
 CASINOS INC      shares
NEW FRONTIER      Common equity   644398109      22     15757 SH         DEFINED    1                            15757
 MEDIA INC        shares
NEW JERSEY        Common equity   646025106   43992    986168 SH         DEFINED    1,2,5,6,8                   986168
 RESOURCES CORP   shares
EINSTEIN NOAH     Common equity   28257U104    1867    124902 SH         DEFINED    1,2                         124902
 RESTAURANT GRP   shares
NEWFIELD          Common equity   651290108  366833   5393096 SH         DEFINED    1,2,5,6,8,10,12,18         5393096
 EXPLORATION CO   shares
NEWPARK           Common equity   651718504   29112   3210071 SH         DEFINED    1,2,5,6,8                  3210071
 RESOURCES        shares
NEWPORT CORP      Common equity   651824104   16111    886519 SH         DEFINED    1,2,5,6,8                   886519
                  shares
NICE SYSTEMS      American        653656108     223      6129 SH         DEFINED    1,6                           6129
 LTD              Depository
                  Receipt
NICHOLAS          Common equity   65373J209    1232    103600 SH         DEFINED    1,2                         103600
 FINANCIAL INC    shares
99 CENTS ONLY     Common equity   65440K106   36742   1815393 SH         DEFINED    1,2,5,6,8,12               1815393
 STORES           shares
NIPPON            American        654624105     279     11550 SH         DEFINED    1                            11550
 TELEGRAPH &      Depository
 TELEPHONE        Receipt
NOBLE ENERGY      Common equity   655044105  658879   7351107 SH         DEFINED    1,2,5,6,8,10,12,18         7351107
 INC              shares
NOKIA CORP        American        654902204    3842    598402 SH         DEFINED    1,2                         598402
                  Depository
                  Receipt
NORDSON CORP      Common equity   655663102   89474   1631184 SH         DEFINED    1,2,5,6,8,12               1631184
                  shares
ONEOK PARTNERS    Limited         68268N103    7427     87073 SH         DEFINED    1,8                          87073
 -LP              Partnership
NORTHWEST         Common equity   667655104   68984   1528599 SH         DEFINED    1,2,5,6,8,17               1528599
 NATURAL GAS CO   shares
NORTHWEST PIPE    Common equity   667746101    4821    185054 SH         DEFINED    1,2,5,8                     185054
 CO               shares
NOVATEL           Common equity   66987M604    3580    653418 SH         DEFINED    1,2,5,6,8                   653418
 WIRELESS INC     shares
NOVARTIS AG       American        66987V109    3766     61608 SH         DEFINED    1,2,5,6,8,12                 61608
                  Depository
                  Receipt
NOVAVAX INC       Common equity   670002104    3211   1589712 SH         DEFINED    1,2                        1589712
                  shares
UNITEK GLOBAL     Common equity   91324T302     955    120650 SH         DEFINED    1,2                         120650
 SERVICES INC     shares
NOVO NORDISK      American        670100205     254      2030 SH         DEFINED    1                             2030
 A/S              Depository
                  Receipt
NU SKIN           Common equity   67018T105   42516   1132322 SH         DEFINED    1,2,5,6,8                  1132322
 ENTERPRISES      shares
 -CL A
NSTAR             Common equity   67019E107  147546   3209103 SH         DEFINED    1,2,5,6,8,10,12,17,18      3209103
                  shares
NUMEREX CORP      Common equity   67053A102    1017    104431 SH         DEFINED    1,2                         104431
 -CL A            shares
NUTRACEUTICAL     Common equity   67060Y101    3179    206653 SH         DEFINED    1,2,17                      190763         15890
 INTL CORP        shares
NUTRISYSTEM INC   Common equity   67069D108    8874    631276 SH         DEFINED    1,2,5,8                     631276
                  shares
NYMOX             Common equity   67076P102    2242    268465 SH         DEFINED    1,2                         268465
 PHARMACEUTICAL   shares
 CORP
O`CHARLEY`S INC   Common equity   670823103    3453    472534 SH         DEFINED    1,2                         472534
                  shares
OGE ENERGY CORP   Common equity   670837103  120138   2387609 SH         DEFINED    1,2,5,6,8,12               2387609
                  shares
OM GROUP INC      Common equity   670872100   27495    676529 SH         DEFINED    1,2,5,6,8                   676529
                  shares
OSI SYSTEMS INC   Common Stock    671044105   18818    437546 SH         DEFINED    1,2,5,6,8                   437546
OYO GEOSPACE      Common equity   671074102   13172    131697 SH         DEFINED    1,2,6,8                     131697
 CORP             shares
STERLING          Common equity   859241101    4333    314698 SH         DEFINED    1,2,8                       314698
 CONSTRUCTION     shares
 CO INC
OCEANEERING       Common equity   675232102  122863   3033648 SH         DEFINED    1,2,5,6,8,12               3033648
 INTERNATIONAL    shares
OCEANFIRST        Common equity   675234108    3442    266047 SH         DEFINED    1,2                         266047
 FINANCIAL CORP   shares
INNOSPEC INC      Common equity   45768S105   14326    426291 SH         DEFINED    1,2,5,6,8                   426291
                  shares
OCWEN             Common equity   675746309   19886   1558525 SH         DEFINED    1,2,5,6,8                  1558525
 FINANCIAL CORP   shares
ODYSSEY MARINE    Common equity   676118102    2683    857890 SH         DEFINED    1,2,5                       857890
 EXPLORATION      shares
BRISTOW GROUP     Common equity   110394103   49308    966484 SH         DEFINED    1,2,5,6,8                   966484
 INC              shares
OIL DRI CORP      Common equity   677864100    1821     85111 SH         DEFINED    1,2                          85111
 AMERICA          shares
OIL STATES        Common equity   678026105  117436   1469537 SH         DEFINED    1,2,5,6,8,12               1469537
 INTL INC         shares
OLD DOMINION      Common equity   679580100   40159   1076652 SH         DEFINED    1,2,5,6,8                  1076652
 FREIGHT          shares
OLD NATIONAL      Common equity   680033107   36034   3336561 SH         DEFINED    1,2,5,6,8                  3336561
 BANCORP          shares
OLIN CORP         Common equity   680665205  146720   6474809 SH         DEFINED    1,2,5,6,8,12               6474809
                  shares
OLYMPIC STEEL     Common equity   68162K106    5352    194400 SH         DEFINED    1,2,5,8                     194400
 INC              shares
OMEGA             Real Estate     681936100   78461   3734541 SH         DEFINED    1,2,3,5,6,8,12             3734541
 HEALTHCARE       Investment
 INVS INC         Trust
OMEGA PROTEIN     Common equity   68210P107    3522    255240 SH         DEFINED    1,2                         255240
 CORP             shares
OMNIVISION        Common equity   682128103   42632   1224792 SH         DEFINED    1,2,5,6,8                  1224792
 TECHNOLOGIES     shares
 INC
OMNOVA            Common equity   682129101    6309    906348 SH         DEFINED    1,2,6                       906348
 SOLUTIONS INC    shares
ON ASSIGNMENT     Common Stock    682159108    8408    854958 SH         DEFINED    1,2,6                       854958
 INC
ON                Common equity   682189105   57604   5502071 SH         DEFINED    1,2,5,6,8                  5502071
 SEMICONDUCTOR    shares
 CORP
ONE LIBERTY       Real Estate     682406103    2332    150899 SH         DEFINED    1,2                         150899
 PROPERTIES INC   Investment
                  Trust
1-800-FLOWERS.COM Common equity   68243Q106    1542    497555 SH         DEFINED    1,2                         497555
                  shares
ONEOK INC         Common equity   682680103  368020   4972672 SH         DEFINED    1,2,5,6,8,10,12,18         4972672
                  shares
ONLINE            Common equity   68273G101      66     19733 SH         DEFINED    1                            19733
 RESOURCES CORP   shares
ONYX              Common Stock    683399109   67845   1922032 SH         DEFINED    1,2,5,6,8                  1922032
 PHARMACEUTICALS
 INC
OPEN TEXT CORP    Common Stock    683715106     330      5145 SH         DEFINED    1,2,5                         5145
OPENWAVE          Common equity   683718308    3470   1514966 SH         DEFINED    1,2,5                      1514966
 SYSTEMS INC      shares
OPNET             Common equity   683757108   10348    252716 SH         DEFINED    1,2,5,6,8                   252716
 TECHNOLOGIES     shares
 INC
OPLINK            Common Stock    68375Q403   10570    567180 SH         DEFINED    1,2,6,8                     567180
 COMMUNICATIONS
 INC
ORASURE           Common Stock    68554V108    8005    938447 SH         DEFINED    1,2,6                       938447
 TECHNOLOGIES
 INC
ORBITAL           Common equity   685564106   22937   1361417 SH         DEFINED    1,2,5,6,8                  1361417
 SCIENCES CORP    shares
ORCHID            Common equity   68573C107      41     14931 SH         DEFINED    1                            14931
 CELLMARK INC     shares
MEDIVATION INC    Common equity   58501N101   24828   1158630 SH         DEFINED    1,2,5,6,8                  1158630
                  shares
O`REILLY          Common equity   67103H107  333089   5084600 SH         DEFINED    1,2,5,6,8,10,12,18         5084600
 AUTOMOTIVE INC   shares
ORIENTAL          Common equity   68618W100   12971   1006680 SH         DEFINED    1,2,5,6,8                  1006680
 FINANCIAL        shares
 GROUP INC
ORRSTOWN          Common equity   687380105    2902    110289 SH         DEFINED    1,2                         110289
 FINANCIAL        shares
 SVCS INC







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CAPSTONE          Common Stock    14068E109      10     36500 SH         DEFINED    1                            36500
 THERAPEUTICS
 CORP
PROTALIX          Common equity   74365A101      89     14200 SH         DEFINED    1,6,8                        14200
 BIOTHERAPEUTICS  shares
 INC
OTTER TAIL CORP   Common equity   689648103   15275    724138 SH         DEFINED    1,2,5,6,8                   724138
                  shares
OVERSEAS          Common equity   690368105   24853    922465 SH         DEFINED    1,2,5,6,8,12                922465
 SHIPHOLDING      shares
 GROUP
OWENS & MINOR     Common equity   690732102   71520   2073602 SH         DEFINED    1,2,5,6,8,12               2073602
 INC              shares
OWENS-ILLINOIS    Common equity   690768403  171339   6638586 SH         DEFINED    1,2,5,6,8,10,12,18         6638586
 INC              shares
OXFORD            Common equity   691497309   10666    315827 SH         DEFINED    1,2,5,6,8                   315827
 INDUSTRIES INC   shares
VIRNETX           Common equity   92823T108   22424    774868 SH         DEFINED    1,2,6,8                     774868
 HOLDING CORP     shares
PC CONNECTION     Common equity   69318J100    2100    253639 SH         DEFINED    1,2                         253639
 INC              shares
PCTEL INC         Common equity   69325Q105     302     46475 SH         DEFINED    1,2                          46475
                  shares
PHC INC/MA        Common equity   693315103      39     11700 SH         DEFINED    1                            11700
 -CL A            shares
PICO HOLDINGS     Common Stock    693366205   13490    465235 SH         DEFINED    1,2,5,6,8                   465235
 INC
PLX TECHNOLOGY    Common equity   693417107    2608    752305 SH         DEFINED    1,2                         752305
 INC              shares
ERESEARCHTECHNOLO Common equity   29481V108    6612   1038394 SH         DEFINED    1,2,5,6,8                  1038394
 INC              shares
PS BUSINESS       Real Estate     69360J107   32744    594158 SH         DEFINED    1,2,3,5,6,8                 594158
 PARKS            Investment
                  Trust
PVF CAPITAL       Common equity   693654105      38     21290 SH         DEFINED    1                            21290
 CORP             shares
PSS WORLD         Common equity   69366A100   37597   1342347 SH         DEFINED    1,2,5,6,8                  1342347
 MEDICAL INC      shares
PREMIERE          Common equity   740585104    9889   1239817 SH         DEFINED    1,2,5,6,8                  1239817
 GLOBAL           shares
 SERVICES INC
PACIFIC           Common equity   69404P200    1902     59792 SH         DEFINED    1,2,5                        59792
 CAPITAL          shares
 BANCORP
BANK OF HAWAII    Common equity   062540109   68285   1467964 SH         DEFINED    1,2,5,6,8,12               1467964
 CORP             shares
PACIFIC           Common equity   69412V108    2816    307864 SH         DEFINED    1,2                         307864
 CONTINENTAL      shares
 CORP
PACIFIC           Common equity   694873100    3436   1316140 SH         DEFINED    1,2,5,6,8                  1316140
 SUNWEAR CALIF    shares
 INC
PAIN              Common Stock    69562K100    2610    674944 SH         DEFINED    1,2,6                       674944
 THERAPEUTICS
 INC
PALOMAR MED       Common equity   697529303    4656    412694 SH         DEFINED    1,2,6,8                     412694
 TECHNOLOGIES     shares
 INC
PARAMOUNT GOLD    Common equity   69924P102    6256   1919500 SH         DEFINED    1,2,6                      1919500
 AND SILVER       shares
PANHANDLE OIL     Common equity   698477106    3868    131097 SH         DEFINED    1,2                         131097
 & GAS INC        shares
PANTRY INC        Common equity   698657103   13369    711498 SH         DEFINED    1,2,5,8                     711498
                  shares
PAPA JOHNS        Common equity   698813102   17325    520874 SH         DEFINED    1,2,5,6,8                   520874
 INTERNATIONAL    shares
 INC
PAREXEL           Common equity   699462107   32810   1392423 SH         DEFINED    1,2,5,6,8                  1392423
 INTERNATIONAL    shares
 CORP
PARK              Common equity   700416209   12926    462335 SH         DEFINED    1,2,5,6,8                   462335
 ELECTROCHEMICAL  shares
 CORP
PARK NATIONAL     Common equity   700658107   27871    423168 SH         DEFINED    1,2,5,6,8,17                423168
 CORP             shares
PARK OHIO         Common equity   700666100    3265    154617 SH         DEFINED    1,2                         154617
 HOLDINGS CORP    shares
PARKER            Common equity   701081101   25350   4333044 SH         DEFINED    1,2,5,6,8                  4333044
 DRILLING CO      shares
PARKERVISION      Common Stock    701354102      13     23732 SH         DEFINED    1                            23732
 INC
PARKWAY           Real Estate     70159Q104   12618    739641 SH         DEFINED    1,2,3,5,6,8                 739641
 PROPERTIES INC   Investment
                  Trust
PARLUX            Common equity   701645103      38     12000 SH         DEFINED    1                            12000
 FRAGRANCES INC   shares
THOMPSON CREEK    Common equity   884768102   27998   2805103 SH         DEFINED    1,2,6                      2805103
 METALS CO INC    shares
PATRIOT           Common equity   70336F104      56     28428 SH         DEFINED    1,2                          28428
 NATIONAL         shares
 BANCORP INC
PATRIOT TRANSN    Common equity   70337B102    1889     84384 SH         DEFINED    1,2,6                        84384
 HOLDING INC      shares
COLLECTIVE        Common equity   19421W100   37421   2547645 SH         DEFINED    1,2,5,6,8,12               2547645
 BRANDS INC       shares
MEDNAX INC        Common equity   58502B106   90550   1254338 SH         DEFINED    1,2,5,6,8,12               1254338
                  shares
PMFG INC          Common Stock    69345P103    5784    291247 SH         DEFINED    1,2,6                       291247
PEET`S COFFEE     Common equity   705560100   15154    262620 SH         DEFINED    1,2,6,8                     262620
 & TEA INC        shares
PEGASYSTEMS INC   Common equity   705573103   15023    322639 SH         DEFINED    1,2,6,8                     322639
                  shares
PENN NATIONAL     Common equity   707569109   32178    797570 SH         DEFINED    1,2,5,6,8,12                797570
 GAMING INC       shares
PENN VIRGINIA     Common equity   707882106   21635   1637757 SH         DEFINED    1,2,5,6,8                  1637757
 CORP             shares
PENNICHUCK CORP   Common equity   708254206    1806     62716 SH         DEFINED    1,2                          62716
                  shares
PENNS WOODS       Common equity   708430103    2269     66072 SH         DEFINED    1,2                          66072
 BANCORP INC      shares
METRO BANCORP     Common equity   59161R101    2753    240937 SH         DEFINED    1,2                         240937
 INC              shares
PENNSYLVANIA      Real Estate     709102107   28087   1788830 SH         DEFINED    1,2,3,5,6,8                1788830
 RE INVS TRUST    Investment
                  Trust
PEOPLES           Common equity   709789101    2450    217185 SH         DEFINED    1,2,8                       217185
 BANCORP INC/OH   shares
PEOPLE`S          Common equity   712704105  219374  16323393 SH         DEFINED    1,2,5,6,8,10,12,17,18     16323393
 UNITED FINL      shares
 INC
RENASANT CORP     Common equity   75970E107    8927    615832 SH         DEFINED    1,2,5,8                     615832
                  shares
PEP BOYS-MANNY    Common equity   713278109   18614   1703083 SH         DEFINED    1,2,5,6,8                  1703083
 MOE & JACK       shares
BRF - BRASIL      American        10552T107    6588    380155 SH         DEFINED    1,2,6,10                    380155
 FOODS SA         Depository
                  Receipt
PEREGRINE         Common equity   713661304    1949   1046979 SH         DEFINED    1,2,5                      1046979
 PHARMACEUTICLS   shares
 INC
PERFICIENT INC    Common equity   71375U101    6404    624482 SH         DEFINED    1,2,5,6,8                   624482
                  shares
PERFORMANCE       Common equity   71376K102      28     13957 SH         DEFINED    1                            13957
 TECHNOLOGIES     shares
 INC
PERICOM           Common equity   713831105    5786    647113 SH         DEFINED    1,2,5,6,8                   647113
 SEMICONDUCTOR    shares
 CORP
TUTOR PERINI      Common equity   901109108   11163    581833 SH         DEFINED    1,2,5,6,8,17                581833
 CORP             shares
PERMA-FIX         Common equity   714157104      47     33700 SH         DEFINED    1                            33700
 ENVIRONMENTAL    shares
 SVCS
PERRIGO CO        Common equity   714290103  221780   2523977 SH         DEFINED    1,2,5,6,8,10,12,18         2523977
                  shares
TELEKOMUNIKASI    American        715684106    4097    118757 SH         DEFINED    1,2,6,8                     118757
 INDONESIA        Depository
                  Receipt
PERVASIVE         Common equity   715710109      67     10400 SH         DEFINED    1                            10400
 SOFTWARE INC     shares
PETMED EXPRESS    Common equity   716382106    5847    493737 SH         DEFINED    1,2,5,6,8                   493737
 INC              shares
PETROCHINA CO     American        71646E100    2093     14334 SH         DEFINED    1,6                          14334
 LTD              Depository
                  Receipt
PETROLEO          American        71654V101  281818   9185770 SH         DEFINED    1,2,4,5,6,8,10,18          9185770
 BRASILEIRO SA    Depository
 PETRO            Receipt
PETROBRAS-PETROLE American        71654V408  301197   8895390 SH         DEFINED    1,2,4,5,6,8,10,18          8895390
 BRASILIER        Depository
                  Receipt
PETROLEUM         Common equity   716578109   22195    741998 SH         DEFINED    1,2,5,6,8                   741998
 DEVELOPMENT      shares
 CORP
PHI INC           Common equity   69336T205    6060    278974 SH         DEFINED    1,2,5                       278974
                  shares
PETROQUEST        Common equity   716748108   17708   2522269 SH         DEFINED    1,2,5,6,8                  2522269
 ENERGY INC       shares
PHARMACYCLICS     Common Stock    716933106    8541    818071 SH         DEFINED    1,2,6                       818071
 INC
PHARMACEUTICAL    Common equity   717124101   86967   3240122 SH         DEFINED    1,2,5,6,8,10,12,18         3240122
 PROD DEV INC     shares
PAR               Common equity   69888P106   35898   1088466 SH         DEFINED    1,2,5,6,8                  1088466
 PHARMACEUTICAL   shares
 COS INC
ACCELRYS INC      Common Stock    00430U103    8017   1127485 SH         DEFINED    1,2,6,8                    1127485
AQUA AMERICA      Common equity   03836W103   76218   3467486 SH         DEFINED    1,2,5,6,8,10,12            3467486
 INC              shares
PLDT-PHILIPPINE   American        718252604   21326    394598 SH         DEFINED    1,2,6,18                    394598
 LNG DIST TEL     Depository
                  Receipt
PVH CORP          Common equity   693656100  104100   1590031 SH         DEFINED    1,2,5,6,8,12               1590031
                  shares
PHOTRONICS INC    Common equity   719405102   11228   1325743 SH         DEFINED    1,2,6,17                   1307673         18070
                  shares
PIEDMONT          Common equity   720186105  101923   3368393 SH         DEFINED    1,2,5,6,8                  3368393
 NATURAL GAS CO   shares
PIER 1 IMPORTS    Common equity   720279108   53502   4624510 SH         DEFINED    1,2,5,6,8                  4624510
 INC/DE           shares
PINNACLE          Common equity   723456109   21735   1458861 SH         DEFINED    1,2,5,6,8                  1458861
 ENTERTAINMENT    shares
 INC
EDELMAN           Common equity   27943Q105    3012    381704 SH         DEFINED    1,2                         381704
 FINANCIAL        shares
 GROUP INC
PINNACLE FINL     Common equity   72346Q104   23409   1504271 SH         DEFINED    1,2,5,6,8                  1504271
 PARTNERS INC     shares
AGILYSYS INC      Common equity   00847J105    3665    439559 SH         DEFINED    1,2                         439559
                  shares
BRINKS CO         Common equity   109696104   53574   1795780 SH         DEFINED    1,2,5,6,8,12,17,18         1795780
                  shares
PIXELWORKS INC    Common equity   72581M305      32     13163 SH         DEFINED    1                            13163
                  shares
PLAINS ALL        Limited         726503105   17383    271611 SH         DEFINED    1,8                         271611
 AMER PIPELNE     Partnership
 -LP
PLANAR SYSTEMS    Common equity   726900103      45     15600 SH         DEFINED    1                            15600
 INC              shares
PLANTRONICS INC   Common equity   727493108   61260   1677021 SH         DEFINED    1,2,5,6,8,12               1677021
                  shares
POLARIS           Common equity   731068102   99118    891625 SH         DEFINED    1,2,5,6,8,12,17,18          891625
 INDUSTRIES INC   shares
POLO RALPH        Common equity   731572103  297093   2240309 SH         DEFINED    1,2,5,6,8,10,12,18         2240309
 LAUREN CP        shares
 -CL A
POLYCOM INC       Common equity   73172K104  138512   2154120 SH         DEFINED    1,2,5,6,8,12               2154120
                  shares
POLYONE CORP      Common equity   73179P106   35055   2265864 SH         DEFINED    1,2,5,6,8                  2265864
                  shares
POST              Real Estate     737464107   69046   1694050 SH         DEFINED    1,2,3,5,6,8                1694050
 PROPERTIES INC   Investment
                  Trust
POTASH CORP       Common equity   73755L107    8974    157459 SH         DEFINED    2,5,18                      157459
 SASK INC         shares
POTLATCH CORP     REIT            737630103   45670   1294815 SH         DEFINED    1,2,5,6,8,12               1294815
POWELL            Common equity   739128106    6630    181546 SH         DEFINED    1,2,5,6,8                   181546
 INDUSTRIES INC   shares
POWER             Common equity   739276103   23540    612527 SH         DEFINED    1,2,5,6,8                   612527
 INTEGRATIONS     shares
 INC
POWERWAVE         Common equity   739363109   10554   3578204 SH         DEFINED    1,2,5,6,8                  3578204
 TECHNOLOGIES     shares
 INC
POZEN INC         Common equity   73941U102    2309    549830 SH         DEFINED    1,2,5,6                     549830
                  shares
PREPAID LEGAL     Common equity   740065107   10564    158848 SH         DEFINED    1,2,5,6,8                   158848
 SERVICES INC     shares
PREFORMED LINE    Common Stock    740444104    3555     50005 SH         DEFINED    1,2                          50005
 PRODUCTS CO
PRESIDENTIAL      Common equity   740884101    5069    485672 SH         DEFINED    1,2,5                       485672
 LIFE CORP        shares
PRESSTEK INC      Common equity   741113104      35     21519 SH         DEFINED    1                            21519
                  shares
PRICELINE.COM     Common equity   741503403  889226   1737013 SH         DEFINED    1,2,5,6,8,10,12,18         1737013
 INC              shares
PRICESMART INC    Common equity   741511109   22876    446579 SH         DEFINED    1,2,5,6,8                   446579
                  shares
RADNET INC        Common equity   750491102    1869    424920 SH         DEFINED    1,2                         424920
                  shares
PRIMEDIA INC      Common equity   74157K846    3484    494004 SH         DEFINED    1,2                         494004
                  shares
PRIVATEBANCORP    Common equity   742962103   26169   1896392 SH         DEFINED    1,2,5,6,8                  1896392
 INC              shares
PRGX GLOBAL INC   Common equity   69357C503    1777    248669 SH         DEFINED    1,2                         248669
                  shares
PROGENICS         Common equity   743187106    4253    591753 SH         DEFINED    1,2,6                       591753
 PHARMACEUTICAL   shares
 INC
PROGRESS          Common equity   743312100   39783   1648718 SH         DEFINED    1,2,5,6,8                  1648718
 SOFTWARE CORP    shares
PROSPERITY        Common equity   743606105   83061   1895403 SH         DEFINED    1,2,5,6,8,12,17,18         1895403
 BANCSHARES INC   shares
PROTECTIVE        Common equity   743674103   53671   2320136 SH         DEFINED    1,2,5,6,8,12,17            2313086          7050
 LIFE CORP        shares
PDL BIOPHARMA     Common equity   69329Y104   22629   3855161 SH         DEFINED    1,2,5,6,8                  3855161
 INC              shares
PROVIDENT NEW     Common equity   744028101    6107    730248 SH         DEFINED    1,2,5,8                     730248
 YORK BANCORP     shares
PNM RESOURCES     Common equity   69349H107   53244   3180614 SH         DEFINED    1,2,5,6,8,12,17            3180614
 INC              shares
ARGAN INC         Common equity   04010E109    1194    118046 SH         DEFINED    1,2                         118046
                  shares
QUAKER            Common equity   747316107   10269    238702 SH         DEFINED    1,2,8                       238702
 CHEMICAL CORP    shares
QUALITY           Common equity   747582104   36719    420663 SH         DEFINED    1,2,5,6,8                   420663
 SYSTEMS INC      shares
QUANEX            Common equity   747619104   22746   1387713 SH         DEFINED    1,2,5,6,8                  1387713
 BUILDING         shares
 PRODUCTS
QUANTA            Common equity   74762E102  152980   7573405 SH         DEFINED    1,2,5,6,8,10,12,18         7573405
 SERVICES INC     shares
QUANTUM CORP      Common equity   747906204   16357   4956031 SH         DEFINED    1,2,6,8                    4956031
                  shares
QUEPASA CORP      Common Stock    74833W206     511     70500 SH         DEFINED    1                            70500
QUEST SOFTWARE    Common equity   74834T103   48974   2154465 SH         DEFINED    1,2,5,6,8,12               2154465
 INC              shares
QUESTAR CORP      Common equity   748356102  220065  12426092 SH         DEFINED    1,2,5,6,8,12              12426092
                  shares
QUESTCOR          Common Stock    74835Y101   40080   1663061 SH         DEFINED    1,2,5,6,8                  1663061
 PHARMACEUTICALS
 INC
QUICKLOGIC CORP   Common equity   74837P108      74     22118 SH         DEFINED    1                            22118
                  shares
QUICKSILVER       Common equity   74837R104   53773   3643330 SH         DEFINED    1,2,5,6,8,10,12            3643330
 RESOURCES INC    shares
QUIKSILVER INC    Common equity   74838C106   13236   2816415 SH         DEFINED    1,2,5,6,8                  2816415
                  shares
QUIDEL CORP       Common Stock    74838J101    7772    512864 SH         DEFINED    1,2,5,6,8                   512864
DORMAN            Common equity   258278100    8524    215233 SH         DEFINED    1,2,8                       215233
 PRODUCTS INC     shares
RAIT FINANCIAL    Real Estate     749227609    4371   2081794 SH         DEFINED    1,2,6,8                    2081794
 TRUST            Investment
                  Trust
RLI CORP          Common equity   749607107  124889   2016978 SH         DEFINED    1,2,5,6,8,17               2016978
                  shares
PREMIER           Common equity   74051E102      26     14700 SH         DEFINED    1                            14700
 EXHIBITIONS      shares
 INC
RPC INC           Common equity   749660106   22912    933670 SH         DEFINED    1,2,5,6,8                   933670
                  shares
RPM               Common equity   749685103  181633   7889951 SH         DEFINED    1,2,5,6,8,12               7889951
 INTERNATIONAL    shares
 INC
RTI INTL          Common equity   74973W107   58437   1522913 SH         DEFINED    1,2,5,6,8                  1522913
 METALS INC       shares
RF MICRO          Common equity   749941100   63402  10359661 SH         DEFINED    1,2,5,6,8,12              10359661
 DEVICES INC      shares
ENDOLOGIX INC     Common equity   29266S106    8017    862041 SH         DEFINED    1,2,6                       862041
                  shares
RADIANT           Common equity   75025N102   16876    807649 SH         DEFINED    1,2,6,8                     807649
 SYSTEMS INC      shares
RADIO ONE INC     Common equity   75040P405      66     37495 SH         DEFINED    1                            37495
                  shares
RADISYS CORP      Common equity   750459109    3959    543571 SH         DEFINED    1,2,5                       543571
                  shares
RAINMAKER         Common equity   750875304      14     13880 SH         DEFINED    1,2                          13880
 SYSTEMS INC      shares
RALCORP           Common equity   751028101  134571   1554211 SH         DEFINED    1,2,5,6,8,10,12,18         1554211
 HOLDINGS INC     shares
RAMTRON           Common equity   751907304      52     17500 SH         DEFINED    1                            17500
 INTERNATIONAL    shares
 CORP
RANGE             Common equity   75281A109  381682   6877177 SH         DEFINED    1,2,5,6,8,10,12,18         6877177
 RESOURCES CORP   shares
RAVEN             Common equity   754212108   18608    334018 SH         DEFINED    1,2,5,6,8                   334018
 INDUSTRIES INC   shares
RAYMOND JAMES     Common equity   754730109   81347   2530341 SH         DEFINED    1,2,5,6,8,12               2530341
 FINANCIAL CORP   shares
EVOLUTION         Common equity   30049A107    1427    200934 SH         DEFINED    1,2                         200934
 PETROLEUM CORP   shares
REALNETWORKS      Common equity   75605L104    6099   1793977 SH         DEFINED    1,2,5,8                    1793977
 INC              shares
REALTY INCOME     Real Estate     756109104  111602   3332487 SH         DEFINED    1,2,3,5,6,8,12             3332487
 CORP             Investment
                  Trust
MIDWAY GOLD       Common equity   598153104    1889    964700 SH         DEFINED    1,2                         964700
 CORP             shares
RED HAT INC       Common equity   756577102  324818   7076800 SH         DEFINED    1,2,5,6,8,10,12,18         7076800
                  shares
CRAFT BREWERS     Common equity   224122101     891    103400 SH         DEFINED    1,2                         103400
 ALLIANCE INC     shares
REDWOOD TRUST     Real Estate     758075402   26221   1733944 SH         DEFINED    1,2,5,6,8                  1733944
 INC              Investment
                  Trust
REGAL-BELOIT      Common equity   758750103   65482    980671 SH         DEFINED    1,2,5,6,8,12                980671
 CORP             shares
REGENERON         Common Stock    75886F107   72404   1276768 SH         DEFINED    1,2,5,6,8                  1276768
 PHARMACEUT
RTI BIOLOGICS     Common equity   74975N105    3574   1318098 SH         DEFINED    1,2,8                      1318098
 INC              shares
RELIANCE STEEL    Common equity   759509102  119625   2409261 SH         DEFINED    1,2,5,6,8,12               2409261
 & ALUMINUM CO    shares
REPLIGEN CORP     Common equity   759916109     107     29290 SH         DEFINED    1,5                          29290
                  shares
RENTECH INC       Common equity   760112102    4429   4178823 SH         DEFINED    1,2,5,6,8                  4178823
                  shares
RENTRAK CORP      Common equity   760174102    2989    168500 SH         DEFINED    1,2,5                       168500
                  shares
REPUBLIC          Common equity   760281204    4696    235991 SH         DEFINED    1,2,5,6                     235991
 BANCORP INC/KY   shares
REPUBLIC FIRST    Common equity   760416107      31     13749 SH         DEFINED    1                            13749
 BANCORP INC      shares
RESEARCH          Common equity   760911107      62     13270 SH         DEFINED    1                            13270
 FRONTIERS INC    shares
RESEARCH IN       Common Stock    760975102    6776    234816 SH         DEFINED    1,2,8                       234816
 MOTION LTD
RESMED INC        Common equity   761152107  115958   3746618 SH         DEFINED    1,2,5,6,8,12               3746618
                  shares
RESOURCE          Common equity   761195205      59     10161 SH         DEFINED    1                            10161
 AMERICA INC      shares
RESOURCES         Common equity   76122Q105   11306    939195 SH         DEFINED    1,2,5,6,8                   939195
 CONNECTION INC   shares
REX AMERICAN      Common equity   761624105    2987    179641 SH         DEFINED    1,2                         179641
 RESOURCES CORP   shares
RICHARDSON        Common Stock    763165107    4376    321962 SH         DEFINED    1,2,6                       321962
 ELECTRONICS
 LTD
RIGEL             Common Stock    766559603   11210   1222261 SH         DEFINED    1,2,5,6,8                  1222261
 PHARMACEUTICALS
 INC
RIMAGE CORP       Common equity   766721104    2318    172621 SH         DEFINED    1,2                         172621
                  shares
RITCHIE BROS      Common equity   767744105     363     13200 SH         DEFINED    1                            13200
 AUCTIONEERS      shares
 INC
RITE AID CORP     Common equity   767754104   24860  18691405 SH         DEFINED    1,2,5,6,8,12              18691405
                  shares
RIVERVIEW         Common equity   769397100      38     12835 SH         DEFINED    1                            12835
 BANCORP INC      shares
ROBBINS &         Common equity   770196103   44041    833290 SH         DEFINED    1,2,5,6,8                   833290
 MYERS INC        shares
ROCK-TENN CO      Common equity   772739207  123482   1861384 SH         DEFINED    1,2,5,6,8,10,12,18         1861384
                  shares
ROCKWELL MED      Common equity   774374102    2687    209300 SH         DEFINED    1,2                         209300
 TECHNOLOGIES     shares
ROFIN SINAR       Common equity   775043102   20318    595054 SH         DEFINED    1,2,5,6,8                   595054
 TECHNOLOGIES     shares
 INC
ROGERS            Common equity   775109200     476     12042 SH         DEFINED    1,2                          12042
 COMMUNICATIONS   shares
 -CL B
ROGERS CORP       Common equity   775133101   15871    343615 SH         DEFINED    1,2,5,6,8                   343615
                  shares
ROLLINS INC       Common equity   775711104   44243   2170836 SH         DEFINED    1,2,5,6,8,12               2170836
                  shares
SUREWEST          Common equity   868733106    3151    188435 SH         DEFINED    1,2                         188435
 COMMUNICATIONS   shares
ROYAL BANK OF     Common equity   780087102     920     16124 SH         DEFINED    1                            16124
 CANADA           shares
ROYAL GOLD INC    Common equity   780287108   68912   1176523 SH         DEFINED    1,2,5,6,8                  1176523
                  shares
RUDDICK CORP      Common equity   781258108   68991   1584519 SH         DEFINED    1,2,5,6,8,12               1584519
                  shares
RUDOLPH           Common equity   781270103    7712    719916 SH         DEFINED    1,2,5                       719916
 TECHNOLOGIES     shares
 INC
RURAL/METRO       Common equity   781748108    5917    343177 SH         DEFINED    1,2,6                       343177
 CORP             shares
KID BRANDS INC    Common equity   49375T100     239     46476 SH         DEFINED    1,2                          46476
                  shares
S & T BANCORP     Common equity   783859101   17703    952274 SH         DEFINED    1,2,5,6,8                   952274
 INC              shares
SBA               Common equity   78388J106   76068   1991923 SH         DEFINED    1,2,5,6,8,10,12,18         1991923
 COMMUNICATIONS   shares
 CORP
IDENTIVE GROUP    Common equity   45170X106    1045    450365 SH         DEFINED    1,2                         450365
 INC              shares
POOL CORP         Common equity   73278L105   34916   1171312 SH         DEFINED    1,2,5,6,8                  1171312
                  shares







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SJW CORP          Common equity   784305104    6275    258876 SH         DEFINED    1,2,5,8                     258876
                  shares
S1 CORP           Common Stock    78463B101    9991   1335442 SH         DEFINED    1,2,5,6,8                  1335442
SRS LABS INC      Common equity   78464M106    1956    203558 SH         DEFINED    1,2                         203558
                  shares
SABA SOFTWARE     Common equity   784932600    4684    518436 SH         DEFINED    1,2,5                       518436
 INC              shares
S Y BANCORP INC   Common equity   785060104    5461    234927 SH         DEFINED    1,2,5,8,17                  234927
                  shares
SMITH & WESSON    Common equity   831756101    3458   1152576 SH         DEFINED    1,2,5,6,8                  1152576
 HOLDING CORP     shares
SAFEGUARD         Common equity   786449207    8062    427111 SH         DEFINED    1,2,5,6,8                   427111
 SCIENTIFICS      shares
 INC
SM ENERGY CO      Common equity   78454L100  120220   1636012 SH         DEFINED    1,2,5,6,8,12               1636012
                  shares
GASCO ENERGY      Common equity   367220100      19     85700 SH         DEFINED    1                            85700
 INC              shares
SANDERSON         Common equity   800013104   23118    483905 SH         DEFINED    1,2,5,6,8                   483905
 FARMS INC        shares
SANDY SPRING      Common equity   800363103    8490    472017 SH         DEFINED    1,2,5,6,8                   472017
 BANCORP INC      shares
SANFILIPPO        Common equity   800422107     108     12834 SH         DEFINED    1                            12834
 JOHN B&SON       shares
SANGAMO           Common equity   800677106    5222    886580 SH         DEFINED    1,2,5,6,8                   886580
 BIOSCIENCES      shares
 INC
SAPIENT CORP      Common equity   803062108   31406   2089619 SH         DEFINED    1,2,5,6,8                  2089619
                  shares
SAPPI LTD         American        803069202     276     54073 SH         DEFINED    1,6                          54073
                  Depository
                  Receipt
SASOL LTD         American        803866300    9382    177397 SH         DEFINED    1,6                         177397
                  Depository
                  Receipt
SATCON            Common equity   803893106    4543   1901997 SH         DEFINED    1,2,6                      1901997
 TECHNOLOGY       shares
 CORP
SAUER-DANFOSS     Common equity   804137107   15039    298548 SH         DEFINED    1,2,5,6,8                   298548
 INC              shares
SAUL CENTERS      Real Estate     804395101   10399    264085 SH         DEFINED    1,2,3,5,6,8                 264085
 INC              Investment
                  Trust
SAVVIS INC        Common equity   805423308   33314    842846 SH         DEFINED    1,2,5,6,8                   842846
                  shares
SCANSOURCE INC    Common equity   806037107   21147    564363 SH         DEFINED    1,2,5,6,8                   564363
                  shares
NUANCE            Common equity   67020Y100   78841   3672232 SH         DEFINED    1,2,5,6,8,10,12,18         3672232
 COMMUNICATIONS   shares
 INC
SCHAWK INC        Common equity   806373106    4733    285944 SH         DEFINED    1,2,5,8                     285944
 -CL A            shares
SCHEIN (HENRY)    Common equity   806407102  196717   2747735 SH         DEFINED    1,2,5,6,8,10,12,18         2747735
 INC              shares
SIRONA DENTAL     Common equity   82966C103   35071    660472 SH         DEFINED    1,2,5,6,8                   660472
 SYSTEMS INC      shares
SCHNITZER         Common equity   806882106   47682    827811 SH         DEFINED    1,2,5,6,8                   827811
 STEEL INDS       shares
 -CL A
SCHOLASTIC CORP   Common equity   807066105   22709    853608 SH         DEFINED    1,2,5,6,8,12                853608
                  shares
SCHOOL            Common equity   807863105    6059    421086 SH         DEFINED    1,2,5,6,8                   421086
 SPECIALTY INC    shares
SCHULMAN (A.)     Common equity   808194104   19249    764203 SH         DEFINED    1,2,5,6,8                   764203
 INC              shares
SCHWEITZER-MAUDUI Common equity   808541106   19425    346007 SH         DEFINED    1,2,5,6,8                   346007
 INTL INC         shares
SCICLONE          Common Stock    80862K104    5282    873960 SH         DEFINED    1,2,6                       873960
 PHARMACEUTICALS
 INC
SCOTTS            Common equity   810186106   59189   1153570 SH         DEFINED    1,2,5,6,8,12               1153570
 MIRACLE-GRO CO   shares
SEABOARD CORP     Common equity   811543107   20150      8333 SH         DEFINED    1,2,5,6,8,17                  8333
                  shares
SEACHANGE         Common Stock    811699107    6074    563577 SH         DEFINED    1,2,5,6                     563577
 INTERNATIONAL
 INC
SEACOAST          Common equity   811707306    1244    829090 SH         DEFINED    1,2                         829090
 BANKING          shares
 CORP/FL
SEACOR            Common equity   811904101   49164    491790 SH         DEFINED    1,2,5,6,8,17                491790
 HOLDINGS INC     shares
SELECT COMFORT    Common equity   81616X103   47954   2666873 SH         DEFINED    1,2,6,8                    2666873
 CORP             shares
SELECTIVE INS     Common equity   816300107   20555   1263450 SH         DEFINED    1,2,5,6,8                  1263450
 GROUP INC        shares
SEMTECH CORP      Common equity   816850101   64673   2365573 SH         DEFINED    1,2,5,6,8,12               2365573
                  shares
SENECA FOODS      Common Stock    817070501    4208    164571 SH         DEFINED    1,2                         164571
 CORP
SENESCO           Common equity   817208408       9     33100 SH         DEFINED    1                            33100
 TECHNOLOGIES     shares
 INC
SENIOR HOUSING    Real Estate     81721M109  129712   5541061 SH         DEFINED    1,2,3,5,6,8,12             5541061
 PPTYS TRUST      Investment
                  Trust
SENSIENT          Common equity   81725T100   65530   1767747 SH         DEFINED    1,2,5,6,8,12,17            1767747
 TECHNOLOGIES     shares
 CORP
SEQUENOM INC      Common equity   817337405   14250   1887365 SH         DEFINED    1,2,5,6,8                  1887365
                  shares
SERVICE CORP      Common equity   817565104   75307   6447770 SH         DEFINED    1,2,5,6,8,12               6447770
 INTERNATIONAL    shares
SHAW GROUP INC    Common equity   820280105   81559   3646223 SH         DEFINED    1,2,5,6,8,12,19            1840593
                  shares
SHENANDOAH        Common equity   82312B106    7893    463901 SH         DEFINED    1,2,5,6,8                   463901
 TELECOMMUN CO    shares
SHILOH            Common equity   824543102     893     82965 SH         DEFINED    1,2                          82965
 INDUSTRIES INC   shares
SHOE CARNIVAL     Common equity   824889109    5575    185016 SH         DEFINED    1,2,5                       185016
 INC              shares
SHUFFLE MASTER    Common equity   825549108   12006   1283085 SH         DEFINED    1,2,5,6,8                  1283085
 INC              shares
NV ENERGY INC     Common equity   67073Y106   92269   6010559 SH         DEFINED    1,2,5,6,8,12               6010559
                  shares
SIGMA DESIGNS     Common Stock    826565103    5058    662499 SH         DEFINED    1,2,5,6,8                   662499
 INC
SIGA              Common Stock    826917106   13639   1400210 SH         DEFINED    1,2,6,8                    1400210
 TECHNOLOGIES
 INC
SILICON           Common equity   826919102   50389   1221163 SH         DEFINED    1,2,5,6,8,12               1221163
 LABORATORIES     shares
 INC
SILGAN            Common equity   827048109   48357   1180312 SH         DEFINED    1,2,5,6,8,12,17            1174822          5490
 HOLDINGS INC     shares
SILICON IMAGE     Common equity   82705T102   12816   1983803 SH         DEFINED    1,2,5,6,8                  1983803
 INC              shares
SVB FINANCIAL     Common equity   78486Q101  104540   1750646 SH         DEFINED    1,2,5,6,8,12,17            1750646
 GROUP            shares
SILICONWARE       American        827084864   31226   5020479 SH         DEFINED    1,2,4,5,6,8                5020479
 PRECISION INDS   Depository
                  Receipt
SIMMONS FIRST     Common equity   828730200    9544    371936 SH         DEFINED    1,2,5,8,17                  371936
 NATL CP  -CL A   shares
STEC INC          Common equity   784774101   13964    821081 SH         DEFINED    1,2,5,6,8                   821081
                  shares
SIMPSON           Common equity   829073105   38662   1294294 SH         DEFINED    1,2,5,6,8                  1294294
 MANUFACTURING    shares
 INC
SINCLAIR          Common equity   829226109   14908   1357964 SH         DEFINED    1,2,6,8                    1357964
 BROADCAST GP     shares
 -CL A
SINOPEC           American        82935M109     332      7558 SH         DEFINED    1,6                           7558
 SHANGHAI         Depository
 PETROCHEM        Receipt
SKECHERS U S A    Common equity   830566105   10800    745985 SH         DEFINED    1,2,5,6,8                   745985
 INC              shares
SKYLINE CORP      Common equity   830830105    2695    153856 SH         DEFINED    1,2                         153856
                  shares
SKYWEST INC       Common equity   830879102   21261   1411529 SH         DEFINED    1,2,5,6,8,17               1411529
                  shares
SMITH (A O)       Common equity   831865209   56772   1342154 SH         DEFINED    1,2,5,6,8                  1342154
 CORP             shares
SMITH MICRO       Common equity   832154108    3122    741580 SH         DEFINED    1,2,5,6,8                   741580
 SOFTWARE INC     shares
SMITHFIELD        Common equity   832248108   88835   4062005 SH         DEFINED    1,2,5,6,8,12               4062005
 FOODS INC        shares
SMUCKER (JM) CO   Common equity   832696405  336778   4405776 SH         DEFINED    1,2,5,6,8,10,12,17,18      4405776
                  shares
SOC QUIMICA Y     American        833635105   23935    369841 SH         DEFINED    1,2,5,6,8                   369841
 MINERA DE CHI    Depository
                  Receipt
SOHU.COM INC      Common equity   83408W103    7162     99136 SH         DEFINED    1,2,5,6                      99136
                  shares
SOLITARIO         Common equity   8342EP107      39     13685 SH         DEFINED    1                            13685
 EXPLORATION &    shares
 RLTY
SONIC CORP        Common equity   835451105   15706   1477396 SH         DEFINED    1,2,5,6,8                  1477396
                  shares
FORCE             Common equity   345203202    9509   1916155 SH         DEFINED    1,2,5,8                    1916155
 PROTECTION INC   shares
SONIC             Common equity   83545G102   19294   1316668 SH         DEFINED    1,2,5,6,8                  1316668
 AUTOMOTIVE       shares
 INC  -CL A
SONOCO            Common equity   835495102  177875   5005012 SH         DEFINED    1,2,5,6,8,12               5005012
 PRODUCTS CO      shares
SONOSITE INC      Common equity   83568G104   11437    325109 SH         DEFINED    1,2,5,6,8                   325109
                  shares
ONCOGENEX         Common Stock    68230A106    2093    122936 SH         DEFINED    1,2                         122936
 PHARMACEUTICALS
SONY CORP         American        835699307    4536    171896 SH         DEFINED    1,2                         171896
                  Depository
                  Receipt
SOTHEBY`S         Common equity   835898107  102427   2354630 SH         DEFINED    1,2,5,6,8,12               2354630
                  shares
SONUS NETWORKS    Common equity   835916107   15996   4937672 SH         DEFINED    1,2,5,6,8                  4937672
 INC              shares
BANCTRUST         Common equity   05978R107      48     18848 SH         DEFINED    1                            18848
 FINANCIAL GRP    shares
 INC
SOUTH JERSEY      Common equity   838518108   38540    709624 SH         DEFINED    1,2,5,6,8,17                709624
 INDUSTRIES INC   shares
PIONEER           Common equity   723655106   32932   2160991 SH         DEFINED    1,2,5,6,8                  2160991
 DRILLING CO      shares
SOUTHERN CMNTY    Common equity   842632101      18     15900 SH         DEFINED    1                            15900
 FINL CORP        shares
SOUTHERN          Common equity   84265V105  189775   5773418 SH         DEFINED    1,2,5,6,8,10,12,18         5773418
 COPPER CORP      shares
SOUTHERN UNION    Common equity   844030106  125832   3134123 SH         DEFINED    1,2,5,6,8,12               3134123
 CO               shares
SOUTHSIDE         Common equity   84470P109    6742    339530 SH         DEFINED    1,2,8                       339530
 BANCSHARES INC   shares
SOUTHWEST         Common equity   844767103    3693    377181 SH         DEFINED    1,2,8                       377181
 BANCORP INC      shares
SOUTHWEST GAS     Common equity   844895102   47826   1238591 SH         DEFINED    1,2,5,6,8,17,18            1238591
 CORP             shares
SWS GROUP INC     Common equity   78503N107    3980    664764 SH         DEFINED    1,2,8                       664764
                  shares
SOUTHWESTERN      Common equity   845467109  604688  14101684 SH         DEFINED    1,2,5,6,8,10,12,18        14101684
 ENERGY CO        shares
SOVRAN SELF       Real Estate     84610H108   35587    867929 SH         DEFINED    1,2,3,5,6,8                 867929
 STORAGE INC      Investment
                  Trust
SPANISH           Common equity   846425833      13     19171 SH         DEFINED    1                            19171
 BROADCASTING     shares
 SYS INC
SPARTAN MOTORS    Common equity   846819100    4018    744125 SH         DEFINED    1,2,8                       744125
 INC              shares
SPARTAN STORES    Common equity   846822104   10814    553485 SH         DEFINED    1,2,5,8                     553485
 INC              shares
SPECTRANETICS     Common Stock    84760C107    4210    676862 SH         DEFINED    1,2                         676862
 CORP
SPEEDWAY          Common equity   847788106    4419    311730 SH         DEFINED    1,2,5,8,17                  311730
 MOTORSPORTS      shares
 INC
SFN GROUP INC     Common equity   784153108   12033   1323626 SH         DEFINED    1,2,5,6,8                  1323626
                  shares
STAAR SURGICAL    Common equity   852312305    3144    593157 SH         DEFINED    1,2                         593157
 CO               shares
STAMPS.COM INC    Common Stock    852857200    4172    312969 SH         DEFINED    1,2                         312969
STANDARD          Common equity   853626109   15757    583770 SH         DEFINED    1,2,5,6,8                   583770
 MICROSYSTEMS     shares
 CORP
STANDARD MOTOR    Common equity   853666105    6469    424887 SH         DEFINED    1,2                         424887
 PRODS            shares
STANDARD          Common equity   85375C101    7616   2274869 SH         DEFINED    1,2,5,6,8                  2274869
 PACIFIC CORP     shares
STANDARD          Common equity   853887107      69     21499 SH         DEFINED    1,2                          21499
 REGISTER CO      shares
STANDEX           Common equity   854231107    8860    288851 SH         DEFINED    1,2,5,6,8                   288851
 INTERNATIONAL    shares
 CORP
STAR              Common equity   85517P101    6563   1458083 SH         DEFINED    1,2,6                      1458083
 SCIENTIFIC INC   shares
STARTEK INC       Common equity   85569C107     105     30571 SH         DEFINED    1                            30571
                  shares
STATE AUTO        Common equity   855707105    5073    291193 SH         DEFINED    1,2,5,8                     291193
 FINANCIAL CORP   shares
STATE             Common equity   855716106    3961    297143 SH         DEFINED    1,2                         297143
 BANCORP/NY       shares
STEEL DYNAMICS    Common equity   858119100  113531   6986152 SH         DEFINED    1,2,5,6,8,10,12            6986152
 INC              shares
STEELCASE INC     Common equity   858155203   19727   1731968 SH         DEFINED    1,2,5,6,8                  1731968
                  shares
STEIN MART INC    Common equity   858375108    5548    575244 SH         DEFINED    1,2,8                       575244
                  shares
STEINWAY          Common equity   858495104    3658    142338 SH         DEFINED    1,2                         142338
 MUSICAL          shares
 INSTRS INC
STEMCELLS INC     Common equity   85857R204      53    100313 SH         DEFINED    1,5                         100313
                  shares
STEPAN CO         Common equity   858586100   12443    175487 SH         DEFINED    1,2,5,6,8                   175487
                  shares
STERLING          Common equity   858907108   31828   3900755 SH         DEFINED    1,2,5,6,8                  3900755
 BANCSHRS/TX      shares
STERICYCLE INC    Common equity   858912108  280259   3144632 SH         DEFINED    1,2,5,6,8,10,12,18         3144632
                  shares
STERIS CORP       Common equity   859152100   70771   2023324 SH         DEFINED    1,2,5,6,8,12               2023324
                  shares
STERLING          Common equity   859158107    5852    616485 SH         DEFINED    1,2,8                       616485
 BANCORP/NY       shares
STERLING          Common Stock    859319303    7359    457699 SH         DEFINED    1,2,6,8                     457699
 FINANCIAL
 CORP/WA
STEWART           Common equity   860370105   13691   1875414 SH         DEFINED    1,2,5,6,8                  1875414
 ENTERPRISES      shares
 -CL A
STEWART           Common equity   860372101    4097    408506 SH         DEFINED    1,2,8                       408506
 INFORMATION      shares
 SERVICES
STIFEL            Common equity   860630102   45208   1260689 SH         DEFINED    1,2,5,6,8                  1260689
 FINANCIAL CORP   shares
STILLWATER        Common equity   86074Q102   73385   3334059 SH         DEFINED    1,2,5,6,8                  3334059
 MINING CO        shares
STONE ENERGY      Common equity   861642106   39950   1314568 SH         DEFINED    1,2,5,6,8,17               1314568
 CORP             shares
STONERIDGE INC    Common equity   86183P102    6118    415131 SH         DEFINED    1,2,6                       415131
                  shares
STRATASYS INC     Common equity   862685104   15350    455557 SH         DEFINED    1,2,5,6,8                   455557
                  shares
STRAYER           Common equity   863236105   55844    441825 SH         DEFINED    1,2,5,6,8,12                441825
 EDUCATION INC    shares
STURM RUGER &     Common equity   864159108   10742    489432 SH         DEFINED    1,2,6,8                     489432
 CO INC           shares
SUBURBAN          Composition of  864482104    4363     83455 SH         DEFINED    1                            83455
 PROPANE          more than 1
 PRTNRS  -LP      security
SUFFOLK BANCORP   Common equity   864739107    3032    217223 SH         DEFINED    1,2,8                       217223
                  shares
SUN BANCORP       Common equity   86663B102    1781    488299 SH         DEFINED    1,2,8                       488299
 INC/NJ           shares
SUN               Real Estate     866674104   26021    697530 SH         DEFINED    1,2,3,5,6,8                 697530
 COMMUNITIES      Investment
 INC              Trust
SUN HYDRAULICS    Common equity   866942105   11433    239153 SH         DEFINED    1,2,6,8                     239153
 CORP             shares
SUNCOR ENERGY     Common equity   867224107     354      9063 SH         DEFINED    1,5,10                        9063
 INC              shares
SUNRISE SENIOR    Common equity   86768K106   12260   1286482 SH         DEFINED    1,2,6                      1286482
 LIVING INC       shares
SUPERCONDUCTOR    Common equity   867931305      29     12480 SH         DEFINED    1                            12480
 TECHNOLOGIES     shares
SUPERGEN INC      Common Stock    868059106    4035   1354403 SH         DEFINED    1,2                        1354403
SUPERIOR          Common equity   868157108   81454   2193031 SH         DEFINED    1,2,5,6,8,12               2193031
 ENERGY           shares
 SERVICES INC
SUPERIOR          Common equity   868168105   11788    533203 SH         DEFINED    1,2,5,6,8                   533203
 INDUSTRIES       shares
 INTL
SUPERTEX INC      Common equity   868532102    4821    215273 SH         DEFINED    1,2,5,8                     215273
                  shares
SUPPORT.COM INC   Common equity   86858W101    4165    867847 SH         DEFINED    1,2,5                       867847
                  shares
SURMODICS INC     Common equity   868873100    4331    389961 SH         DEFINED    1,2,5,6,8                   389961
                  shares
SUSQUEHANNA       Common equity   869099101   36688   4585653 SH         DEFINED    1,2,5,6,8                  4585653
 BANCSHARES INC   shares
SWIFT ENERGY CO   Common equity   870738101   44317   1188991 SH         DEFINED    1,2,5,6,8                  1188991
                  shares
SYKES             Common equity   871237103   21045    977564 SH         DEFINED    1,2,5,6,8                   977564
 ENTERPRISES      shares
 INC
SYMMETRICOM INC   Common Stock    871543104    6943   1191073 SH         DEFINED    1,2,5,8                    1191073
SYMS CORP         Common equity   871551107     691     64000 SH         DEFINED    1,2                          64000
                  shares
SYNGENTA AG       American        87160A100     405      6004 SH         DEFINED    1                             6004
                  Depository
                  Receipt
SYNTEL INC        Common equity   87162H103   16820    284534 SH         DEFINED    1,2,5,6,8                   284534
                  shares
SYNTROLEUM CORP   Common equity   871630109    1788   1217572 SH         DEFINED    1,2,5                      1217572
                  shares
SYSTEMAX INC      Common equity   871851101    3007    201766 SH         DEFINED    1,2,5                       201766
                  shares
SXC HEALTH        Common equity   78505P100   34289    581937 SH         DEFINED    1,2,5,6                     581937
 SOLUTIONS CORP   shares
TC PIPELINES LP   Limited         87233Q108    3211     67207 SH         DEFINED    1                            67207
                  Partnership
TGC INDUSTRIES    Common equity   872417308      73     11428 SH         DEFINED    1,2                          11428
 INC              shares
THQ INC           Common equity   872443403    5097   1408054 SH         DEFINED    1,2,5,8                    1408054
                  shares
TRC COS INC       Common equity   872625108    1441    230511 SH         DEFINED    1,2                         230511
                  shares
TTM TECHNOLOGIES  Common equity   87305R109   19019   1187392 SH         DEFINED    1,2,5,6,8                  1187392
 INC              shares
TAKE-TWO          Common equity   874054109   27360   1790586 SH         DEFINED    1,2,5,6,8                  1790586
 INTERACTIVE      shares
 SFTWR
TALBOTS INC       Common equity   874161102   10751   3219790 SH         DEFINED    1,2,5,6,8                  3219790
                  shares
TAUBMAN           Real Estate     876664103  130529   2204863 SH         DEFINED    1,2,3,5,6,8,12             2204863
 CENTERS INC      Investment
                  Trust
TEAM INC          Common equity   878155100    9279    384621 SH         DEFINED    1,2,5,6,8                   384621
                  shares
TECH DATA CORP    Common equity   878237106   61598   1260028 SH         DEFINED    1,2,5,6,8,12               1260028
                  shares
TECHNE CORP       Common equity   878377100   78028    935916 SH         DEFINED    1,2,5,6,8,12                935916
                  shares
PULSE             Common equity   74586W106    3905    883806 SH         DEFINED    1,2,6,8                     883806
 ELECTRONICS      shares
 CORP
TECUMSEH          Common Stock    878895200    3941    386382 SH         DEFINED    1,2                         386382
 PRODUCTS CO
 -CL A
TEJON RANCH CO    Common equity   879080109    8872    260192 SH         DEFINED    1,2,5,6,8                   260192
                  shares
TEKELEC           Common equity   879101103   14860   1627434 SH         DEFINED    1,2,5,6,8                  1627434
                  shares
TIM               American        88706P106    6150    124985 SH         DEFINED    1,2,4,6,10,18               124985
 PARTICIPACOES    Depository
 SA               Receipt
TELE NORTE        American        879246106   19088   1228279 SH         DEFINED    1,2,4,5,6,8,10,18          1228279
 LESTE            Depository
 PARTICIPACO      Receipt
TELECOMUNIC       American        87929A102   10877    366199 SH         DEFINED    1,2,4,6,8,10                366199
 SAO PAULO        Depository
                  Receipt
TELECOMMUNICATION Common Stock    87929J103    4245    878291 SH         DEFINED    1,2,6,8                     878291
 SYS INC
TELEDYNE          Common equity   879360105   44564    885012 SH         DEFINED    1,2,5,6,8                   885012
 TECHNOLOGIES     shares
 INC
TELEFONICA SA     American        879382208     633     25828 SH         DEFINED    1,8                          25828
                  Depository
                  Receipt
TELMEX-TELEFONOS  American        879403780    6649    402933 SH         DEFINED    1,6,8                       402933
 DE MEXICO        Depository
                  Receipt
TELIK INC         Common Stock    87959M109      25     31628 SH         DEFINED    1                            31628
TELETECH          Common equity   879939106   17336    822494 SH         DEFINED    1,2,5,6,8                   822494
 HOLDINGS INC     shares
TENGASCO INC      Common equity   88033R205       8     10300 SH         DEFINED    1                            10300
                  shares
TENNANT CO        Common equity   880345103   15107    378309 SH         DEFINED    1,2,5,6,8                   378309
                  shares
TENNECO INC       Common equity   880349105   59663   1353867 SH         DEFINED    1,2,5,6,8                  1353867
                  shares
TEREX CORP        Common equity   880779103   79134   2781423 SH         DEFINED    1,2,5,6,8,10,12            2781423
                  shares
TESCO CORP        Common equity   88157K101   12416    639479 SH         DEFINED    1,2,5,6,8                   639479
                  shares
TESORO CORP       Common equity   881609101  163793   7149270 SH         DEFINED    1,2,5,6,8,10,12            7149270
                  shares
TEVA              American        881624209   46539   1219275 SH         DEFINED    1,2,8,10,19                 734434
 PHARMACEUTICALS  Depository
                  Receipt
TETRA             Common equity   88162F105   36877   2897138 SH         DEFINED    1,2,5,6,8                  2897138
 TECHNOLOGIES     shares
 INC/DE
TETRA TECH INC    Common equity   88162G103   29369   1305025 SH         DEFINED    1,2,5,6,8                  1305025
                  shares
TEXAS             Common equity   882491103   22119    531376 SH         DEFINED    1,2,5,6,8                   531376
 INDUSTRIES INC   shares
THERAGENICS       Common equity   883375107      53     30481 SH         DEFINED    1                            30481
 CORP             shares
KADANT INC        Common equity   48282T104   12311    390796 SH         DEFINED    1,2,6                       390796
                  shares
THERMOGENESIS     Common equity   883623308      22     11185 SH         DEFINED    1                            11185
 CORP             shares
THESTREET INC     Common equity   88368Q103      51     16700 SH         DEFINED    1                            16700
                  shares
THOR              Common equity   885160101   26511    919122 SH         DEFINED    1,2,5,6,8,12                919122
 INDUSTRIES INC   shares
THORATEC CORP     Common equity   885175307   49171   1498034 SH         DEFINED    1,2,5,6,8,12               1498034
                  shares
3D SYSTEMS CORP   Common Stock    88554D205   14931    757480 SH         DEFINED    1,2,6,8                     757480







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TIBCO SOFTWARE    Common equity   88632Q103  113372   3906551 SH         DEFINED    1,2,5,6,8,12               3906551
 INC              shares
TIDEWATER INC     Common equity   886423102   79837   1483705 SH         DEFINED    1,2,5,6,8,12,17            1481075          2630
                  shares
TIER              Common Stock    88650Q100      63     12400 SH         DEFINED    1                            12400
 TECHNOLOGIES
 INC
TIMKEN CO         Common equity   887389104  111555   2213519 SH         DEFINED    1,2,5,6,8,12,17            2213519
                  shares
TITAN             Common equity   88830M102   20178    831798 SH         DEFINED    1,2,5,6,8                   831798
 INTERNATIONAL    shares
 INC
TITANIUM          Common equity   888339207   88145   4811600 SH         DEFINED    1,2,5,6,8,10,12            4811600
 METALS CORP      shares
TIVO INC          Common Stock    888706108   26582   2583725 SH         DEFINED    1,2,5,6,8                  2583725
TOLL BROTHERS     Common equity   889478103  132453   7468049 SH         DEFINED    1,2,5,6,8,10,12,18,19      5403752
 INC              shares
TOMPKINS          Common equity   890110109    7211    183757 SH         DEFINED    1,2,5,8,17                  183757
 FINANCIAL CORP   shares
TOOTSIE ROLL      Common equity   890516107   24056    822028 SH         DEFINED    1,2,5,6,8,12,17             822028
 INDUSTRIES INC   shares
TOREADOR          Common equity   891050106      70     18885 SH         DEFINED    1,2                          18885
 RESOURCES CORP   shares
TORO CO           Common equity   891092108   29194    482582 SH         DEFINED    1,2,5,6,8,17,18             482582
                  shares
TOTAL SA          American        89151E109     306      5276 SH         DEFINED    1                             5276
                  Depository
                  Receipt
TOWER BANCORP INC Common Stock    891709107    4209    153586 SH         DEFINED    1,2                         153586
TOWNEBANK         Common equity   89214P109    5972    446532 SH         DEFINED    1,2,8                       446532
                  shares
TRACTOR SUPPLY CO Common equity   892356106  125143   1871091 SH         DEFINED    1,2,5,6,8,12               1871091
                  shares
ACI WORLDWIDE INC Common equity   004498101   43956   1301693 SH         DEFINED    1,2,5,6,8,12,17            1301693
                  shares
TRANSATLANTIC     Common equity   893521104   78184   1595243 SH         DEFINED    1,2,5,6,8,10,12,18         1595243
 HOLDINGS INC     shares
TRANSCEND         Common Stock    893929208    4557    154893 SH         DEFINED    1,2                         154893
 SERVICES INC
ALLIED            Common equity   01923A109      82     33200 SH         DEFINED    1                            33200
 HEALTHCARE       shares
 INTL INC
TREDEGAR CORP     Common equity   894650100   10467    570354 SH         DEFINED    1,2,5,6,8                   570354
                  shares
TREX CO INC       Common equity   89531P105    7437    303816 SH         DEFINED    1,2,6,8                     303816
                  shares
TRI-VALLEY CORP   Common equity   895735108      12     20896 SH         DEFINED    1                            20896
                  shares
TRIDENT           Common equity   895919108      58     85036 SH         DEFINED    1                            85036
 MICROSYSTEMS INC shares
WENDY`S CO        Common equity   95058W100   40875   8062361 SH         DEFINED    1,2,5,6,8,12               8062361
                  shares
TRICO BANCSHARES  Common equity   896095106    3911    267847 SH         DEFINED    1,2                         267847
                  shares
TRIMBLE           Common equity   896239100  116674   2943360 SH         DEFINED    1,2,5,6,8,12               2943360
 NAVIGATION LTD   shares
TRIMERIS INC      Common equity   896263100      49     19948 SH         DEFINED    1                            19948
                  shares
TRINITY BIOTECH   American        896438306     195     19630 SH         DEFINED    17                               0         19630
 PLC              Depository
                  Receipt
TRINITY           Common equity   896522109   71436   2047907 SH         DEFINED    1,2,5,6,8,12               2047907
 INDUSTRIES       shares
TRIQUINT          Common equity   89674K103   41256   4048862 SH         DEFINED    1,2,5,6,8                  4048862
 SEMICONDUCTOR    shares
 INC
TRIUMPH GROUP     Common equity   896818101   66642    669229 SH         DEFINED    1,2,5,6,8,12                669229
 INC              shares
TRUSTCO BANK      Common equity   898349105    8611   1757930 SH         DEFINED    1,2,5,8                    1757930
 CORP/NY          shares
TRUSTMARK CORP    Common equity   898402102   60293   2575514 SH         DEFINED    1,2,5,6,8,12               2575514
                  shares
TUESDAY           Common equity   899035505    3000    644739 SH         DEFINED    1,2                         644739
 MORNING CORP     shares
TUPPERWARE        Common equity   899896104  104588   1550580 SH         DEFINED    1,2,5,6,8,12               1550580
 BRANDS CORP      shares
TURKCELL          American        900111204    1567    115655 SH         DEFINED    1,6,8                       115655
 ILETISIM         Depository
 HIZMET           Receipt
TWIN DISC INC     Common equity   901476101    6743    174603 SH         DEFINED    1,2                         174603
                  shares
II-VI INC         Common equity   902104108   27744   1083728 SH         DEFINED    1,2,5,6,8                  1083728
                  shares
TYLER             Common equity   902252105   18549    692684 SH         DEFINED    1,2,5,6,8                   692684
 TECHNOLOGIES INC shares

GRAFTECH          Common equity   384313102   32990   1627571 SH         DEFINED    1,2,5,6,8                  1627571
 INTERNATIONAL    shares
 LTD
UGI CORP          Common equity   902681105  201840   6329284 SH         DEFINED    1,2,5,6,8,12               6329284
                  shares
UIL HOLDINGS      Common equity   902748102   36377   1124418 SH         DEFINED    1,2,5,6,8                  1124418
 CORP             shares
UMB FINANCIAL     Common equity   902788108   37106    885943 SH         DEFINED    1,2,5,6,8                   885943
 CORP             shares
APPLIED           Common Stock    03819M106      15     45154 SH         DEFINED    1                            45154
 ENERGETICS INC
U S GLOBAL        Common equity   902952100      73     10140 SH         DEFINED    1                            10140
 INVESTORS INC    shares
UQM               Common equity   903213106      51     22676 SH         DEFINED    1                            22676
 TECHNOLOGIES     shares
 INC
URS CORP          Common equity   903236107  125992   2816243 SH         DEFINED    1,2,5,6,8,10,12,18         2816243
                  shares
USANA HEALTH      Common Stock    90328M107    4112    131457 SH         DEFINED    1,2,5,6,8                   131457
 SCIENCES INC
USA               Common equity   90328S500      26     11800 SH         DEFINED    1                            11800
 TECHNOLOGIES     shares
 INC
USG CORP          Common equity   903293405   51305   3577765 SH         DEFINED    1,2,5,6,8                  3577765
                  shares
CHINDEX INTL      Common Stock    169467107    3572    262404 SH         DEFINED    1,2                         262404
 INC
PAETEC HOLDING    Common equity   695459107   14162   2956972 SH         DEFINED    1,2,5,6,8                  2956972
 CORP             shares
USEC INC          Common equity   90333E108   29208   8746421 SH         DEFINED    1,2,5,6,8                  8746421
                  shares
U S PHYSICAL      Common equity   90337L108    6523    263769 SH         DEFINED    1,2,5                       263769
 THERAPY INC      shares
ULTIMATE          Common Stock    90385D107   27516    505480 SH         DEFINED    1,2,5,6,8                   505480
 SOFTWARE
 GROUP INC
ULTRALIFE CORP    Common equity   903899102      72     15100 SH         DEFINED    1                            15100
                  shares
ULTRA             Common equity   903914109  122282   2670035 SH         DEFINED    1,2,5,6,8,10,12,18         2670035
 PETROLEUM CORP   shares
ULTRAPAR          American        90400P101    3148    173717 SH         DEFINED    1,2,4,5,6,10                173717
 PARTICIPACOES    Depository
 SA               Receipt
ULTRATECH INC     Common Stock    904034105   16815    553517 SH         DEFINED    1,2,6,8                     553517
UMPQUA            Common equity   904214103   44665   3860053 SH         DEFINED    1,2,5,6,8                  3860053
 HOLDINGS CORP    shares
UNIFI INC         Common equity   904677200    4250    308025 SH         DEFINED    1,2                         308025
                  shares
UNIFIRST CORP     Common equity   904708104   18376    327033 SH         DEFINED    1,2,5,6,8                   327033
                  shares
UNILEVER NV       Similar to      904784709     255      7731 SH         DEFINED    1,8                           7731
                  ADR
                  Certificates
                  representing
                  ordinary shares
UNION FIRST       Common equity   90662P104    4094    336028 SH         DEFINED    1,2                         336028
 MARKET           shares
 BANKSHARS
UNISOURCE         Common equity   909205106   34550    925512 SH         DEFINED    1,2,5,6,8                   925512
 ENERGY CORP      shares
UNIT CORP         Common equity   909218109   77945   1279237 SH         DEFINED    1,2,5,6,8,12               1279237
                  shares
PENSKE            Common equity   70959W103   27020   1188223 SH         DEFINED    1,2,5,6,8                  1188223
 AUTOMOTIVE       shares
 GROUP INC
UNITED            Common equity   909839102      33     26008 SH         DEFINED    1                            26008
 COMMUNITY        shares
 FINL CORP
UNITED            Common equity   909907107   33905   1384977 SH         DEFINED    1,2,5,6,8                  1384977
 BANKSHARES       shares
 INC/WV
UNITED CAPITAL    Common equity   909912107    1490     49701 SH         DEFINED    1,2                          49701
 CORP             shares
UDR INC           Real Estate     902653104  161207   6566413 SH         DEFINED    1,2,3,5,6,8,10,12          6566413
                  Investment
                  Trust
UNITED FIRE &     Common equity   910331107    8946    515115 SH         DEFINED    1,2,5,8                     515115
 CAS CO           shares
UNITED            American        910873405    6938   2711092 SH         DEFINED    1,2,6,8                    2711092
 MICROELECTRONICS Depository
 CORP             Receipt
UMH PROPERTIES    Real Estate     903002103    1975    184400 SH         DEFINED    1,2                         184400
 INC              Investment
                  Trust
UNITED NATURAL    Common equity   911163103   47936   1123522 SH         DEFINED    1,2,5,6,8                  1123522
 FOODS INC        shares
UNITED RENTALS    Common equity   911363109   50787   1999632 SH         DEFINED    1,2,5,6,8,12               1999632
 INC              shares
US CELLULAR       Common equity   911684108   10707    221134 SH         DEFINED    1,2,5,6,8                   221134
 CORP             shares
U S ENERGY        Common equity   911805109    1895    443876 SH         DEFINED    1,2                         443876
 CORP/WY          shares
U S LIME &        Common equity   911922102    1538     37539 SH         DEFINED    1,2,6                        37539
 MINERALS         shares
U S GOLD CORP     Common Stock    912023207   41690   6913809 SH         DEFINED    1,2,6,8                    6913809
UNITED            Common equity   913004107   39697   1120484 SH         DEFINED    1,2,5,6,8                  1120484
 STATIONERS INC   shares
UNITED            Common equity   91307C102   86421   1568469 SH         DEFINED    1,2,5,6,8,12               1568469
 THERAPEUTICS     shares
 CORP
UNITIL CORP       Common equity   913259107    5375    204352 SH         DEFINED    1,2                         204352
                  shares
UNITRIN INC       Common equity   913275103   38503   1297543 SH         DEFINED    1,2,5,6,8,12               1297543
                  shares
UNIVERSAL         Common equity   91338E101    8254    753730 SH         DEFINED    1,2,5,6,8,17                753730
 AMERICAN CORP    shares
UNIVERSAL         Common equity   913456109   75191   1996082 SH         DEFINED    1,2,5,6,17                 1996082
 CORP/VA          shares
UNIVERSAL         Common equity   91347P105   26111    744101 SH         DEFINED    1,2,5,6,8                   744101
 DISPLAY CORP     shares
UNIVERSAL         Common equity   913483103    7181    284073 SH         DEFINED    1,2,5,6,8                   284073
 ELECTRONICS      shares
 INC
UNIVERSAL         Common equity   913543104   14573    608169 SH         DEFINED    1,2,5,6,8                   608169
 FOREST PRODS     shares
 INC
UNIVERSAL         Real Estate     91359E105   16010    400391 SH         DEFINED    1,2,3,5,8                   400391
 HEALTH RLTY      Investment
 INCOME           Trust
UNIVERSAL         Common equity   91359V107    1272    272539 SH         DEFINED    1,2                         272539
 INSURANCE        shares
 HLDGS
UNVL STAINLESS    Common equity   913837100    6033    128985 SH         DEFINED    1,2,5                       128985
 & ALLOY PRODS    shares
UNIVERSAL         Common equity   913903100  120208   2332846 SH         DEFINED    1,2,5,6,8,12               2332846
 HEALTH SVCS      shares
 INC
UNIVEST CORP OF   Common equity   915271100    5260    336434 SH         DEFINED    1,2,8                       336434
 PENNSYLVANIA     shares
INTERMEC INC      Common equity   458786100   12654   1145978 SH         DEFINED    1,2,5,6,8                  1145978
                  shares
URANIUM           Common Stock    916901507    1994   1193830 SH         DEFINED    1,2                        1193830
 RESOURCES INC
OILSANDS QUEST    Common equity   678046103     280    872122 SH         DEFINED    1,2,8                       872122
 INC              shares
UROLOGIX INC      Common Stock    917273104      11     12100 SH         DEFINED    1                            12100
UROPLASTY INC     Common equity   917277204    1945    259200 SH         DEFINED    1,2                         259200
                  shares
URSTADT BIDDLE    Real Estate     917286205    9486    523945 SH         DEFINED    1,2,3,5,8                   523945
 PROPERTIES       Investment
                  Trust
GEEKNET INC       Common equity   36846Q203    1388     52010 SH         DEFINED    1,2                          52010
                  shares
VSE CORP          Common Stock    918284100    1973     79411 SH         DEFINED    1,2                          79411
VAALCO ENERGY     Common equity   91851C201   11730   1948609 SH         DEFINED    1,2,8                      1948609
 INC              shares
VAIL RESORTS      Common equity   91879Q109   37212    805158 SH         DEFINED    1,2,5,6,8                   805158
 INC              shares
VALASSIS          Common equity   918866104   30157    995392 SH         DEFINED    1,2,5,6,8                   995392
 COMMUNICATIONS   shares
 INC
VALHI INC         Common equity   918905100     396      7987 SH         DEFINED    1                             7987
                  shares
VALENCE           Common equity   918914102     800    680024 SH         DEFINED    1,2                         680024
 TECHNOLOGY INC   shares
SYNERGETICS       Common equity   87160G107    1430    259400 SH         DEFINED    1,2                         259400
 USA INC          shares
VALLEY            Common equity   919794107   69191   5083438 SH         DEFINED    1,2,5,6,8,12               5083438
 NATIONAL         shares
 BANCORP
VALMONT           Common equity   920253101   49994    518588 SH         DEFINED    1,2,5,6,8,12                518588
 INDUSTRIES INC   shares
VALSPAR CORP      Common equity   920355104  148197   4109705 SH         DEFINED    1,2,5,6,8,12               4109705
                  shares
VALUE LINE INC    Common equity   920437100     326     24366 SH         DEFINED    1,2                          24366
                  shares
VALUECLICK INC    Common equity   92046N102   50172   3022633 SH         DEFINED    1,2,5,6,8,12,17            3022633
                  shares
VALUEVISION MEDIA Common equity   92047K107    4419    577639 SH         DEFINED    1,2,6                       577639
INC -CL A         shares
VARIAN            Common equity   922207105  228541   3719745 SH         DEFINED    1,2,5,6,8,12               3719745
 SEMICONDUCTOR    shares
 EQUIPMT
VASCO DATA SEC    Common equity   92230Y104    6783    545016 SH         DEFINED    1,2,5,6                     545016
 INTL INC         shares
VASCULAR          Common equity   92231M109    3484    281044 SH         DEFINED    1,2                         281044
 SOLUTIONS INC    shares
VECTREN CORP      Common equity   92240G101  116464   4180373 SH         DEFINED    1,2,5,6,8,12               4180373
                  shares
VECTOR GROUP LTD  Common equity   92240M108   13933    783168 SH         DEFINED    1,2,6,17                    783168
                  shares
VEECO             Common equity   922417100   42388    875554 SH         DEFINED    1,2,5,6,8,18                875554
 INSTRUMENTS INC  shares

VENTAS INC        Real Estate     92276F100  409437   7767594 SH         DEFINED    1,2,3,5,6,8,10,12,18       7767594
                  Investment
                  Trust
VERTEX            Common equity   92532F100  324976   6250663 SH         DEFINED    1,2,5,6,8,10,12,18         6250663
 PHARMACEUTICALS  shares
 INC
VIAD CORP         Common equity   92552R406   10982    492741 SH         DEFINED    1,2,5,6,8                   492741
                  shares
VIASAT INC        Common equity   92552V100   32954    761570 SH         DEFINED    1,2,5,6,8                   761570
                  shares
VICAL INC         Common equity   925602104    4899   1189109 SH         DEFINED    1,2,6                      1189109
                  shares
VICOR CORP        Common equity   925815102    6750    417305 SH         DEFINED    1,2,5,6,8                   417305
                  shares
TATA              American        876564105     126     14344 SH         DEFINED    1,6,8                        14344
 COMMUNICATIONS   Depository
 LTD              Receipt
L-1 IDENTITY      Common equity   50212A106   17949   1527407 SH         DEFINED    1,2,5,6,8                  1527407
 SOLUTIONS INC    shares
VILLAGE SUPER     Common equity   927107409    3210    115866 SH         DEFINED    1,2,17                      115866
 MARKET  -CL A    shares
VINA CONCHA Y     American        927191106    3314     63322 SH         DEFINED    1,2,6                        63322
 TORO SA          Depository
                  Receipt
VIRCO MFG. CORP   Common equity   927651109      32     11061 SH         DEFINED    1                            11061
                  shares
VIRGINIA COMM     Common equity   92778Q109    2048    345969 SH         DEFINED    1,2                         345969
 BANCORP INC      shares
STELLARONE CORP   Common equity   85856G100    5182    427816 SH         DEFINED    1,2,8                       427816
                  shares
VISTA GOLD CORP   Common equity   927926303    2503    884800 SH         DEFINED    1,2                         884800
                  shares
KIT DIGITAL INC   Common Stock    482470200    6155    515439 SH         DEFINED    1,2,6                       515439
VIROPHARMA INC    Common equity   928241108   45548   2462190 SH         DEFINED    1,2,5,6,8,17               2462190
                  shares
VITESSE           Common equity   928497304      42     10719 SH         DEFINED    1                            10719
 SEMICONDUCTOR    shares
 CORP
VIVUS INC         Common Stock    928551100   21878   2687753 SH         DEFINED    1,2,5,6,8                  2687753
VODAFONE GROUP    Depository      92857W209    8107    303430 SH         DEFINED    1                           303430
 PLC              Receipt
ALUMINA LTD       American        022205108     198     21533 SH         DEFINED    1                            21533
                  Depository
                  Receipt
FIBRIA            American        31573A109    2244    170041 SH         DEFINED    1,2,6,10                    170041
 CELULOSE SA      Depository
                  Receipt
WD-40 CO          Common equity   929236107   14659    375527 SH         DEFINED    1,2,5,6,8                   375527
                  shares
WGL HOLDINGS INC  Common equity   92924F106  119330   3100266 SH         DEFINED    1,2,5,6,8,12,17            3100266
                  shares
WPP PLC           American        92933H101     350      5582 SH         DEFINED    1                             5582
                  Depository
                  Receipt
INTEGRYS          Common equity   45822P105  194543   3752769 SH         DEFINED    1,2,5,6,8,10,12,18         3752769
 ENERGY GROUP     shares
 INC
WSFS FINANCIAL    Common equity   929328102    4800    121022 SH         DEFINED    1,2,5,8                     121022
 CORP             shares
WABASH            Common equity   929566107   12432   1326814 SH         DEFINED    1,2,6,8                    1326814
 NATIONAL CORP    shares
WABTEC CORP       Common equity   929740108   78796   1198880 SH         DEFINED    1,2,5,6,8,12               1198880
                  shares
GEO GROUP INC     Common equity   36159R103   32262   1401038 SH         DEFINED    1,2,5,6,8                  1401038
                  shares
WADDELL&REED      Common equity   930059100   75326   2072119 SH         DEFINED    1,2,5,6,8,12,17            2067839          4280
 FINL INC  -CL    shares
 A
WALTER ENERGY INC Common equity   93317Q105  147205   1271278 SH         DEFINED    1,2,5,6,8,10,12,17,18      1270093          1185
                  shares
WASHINGTON        Common equity   937303105    3530    266824 SH         DEFINED    1,2                         266824
 BANKING CO       shares
WASHINGTON FED    Common equity   938824109   46179   2810276 SH         DEFINED    1,2,5,6,8,12               2810276
 INC              shares
WASHINGTON REIT   Real Estate     939653101   71322   2193178 SH         DEFINED    1,2,3,5,6,8                2193178
                  Investment
                  Trust
WASHINGTON TR     Common equity   940610108    6257    272437 SH         DEFINED    1,2,5,8                     272437
 BANCORP INC      shares
WASTE             Common equity   941053100   90850   2863192 SH         DEFINED    1,2,5,6,8,12               2863192
 CONNECTIONS      shares
 INC
WATSCO INC        Common equity   942622200   65692    966150 SH         DEFINED    1,2,5,6,8,12                966150
                  shares
WATTS WATER       Common equity   942749102   22301    629906 SH         DEFINED    1,2,5,6,8                   629906
 TECHNOLOGIES     shares
 INC
WAUSAU PAPER      Common equity   943315101    8265   1225875 SH         DEFINED    1,2,5,8                    1225875
 CORP             shares
WAVE SYSTEMS      Common Stock    943526301    4248   1506740 SH         DEFINED    1,2                        1506740
 CORP  -CL A
WEBSENSE INC      Common equity   947684106   26123   1005842 SH         DEFINED    1,2,5,6,8,17               1005842
                  shares
WEBSTER           Common equity   947890109   66331   3155543 SH         DEFINED    1,2,5,6,8,12               3155543
 FINANCIAL CORP   shares
SCHIFF            Common equity   806693107    2436    217661 SH         DEFINED    1,2,17                      217661
 NUTRITION        shares
 INTL INC
WEINGARTEN        Real Estate     948741103  109205   4340429 SH         DEFINED    1,2,3,5,6,8,12             4340429
 REALTY INVST     Investment
                  Trust
WEIS MARKETS      Common equity   948849104   10725    263303 SH         DEFINED    1,2,5,8,17                  263303
 INC              shares
WERNER            Common equity   950755108   42407   1692641 SH         DEFINED    1,2,5,6,8,12               1692641
 ENTERPRISES      shares
 INC
WESBANCO INC      Common equity   950810101    9708    493626 SH         DEFINED    1,2,5,8                     493626
                  shares
WESCO INTL INC    Common equity   95082P105   32150    594501 SH         DEFINED    1,2,5,6,8                   594501
                  shares
WEST              Common equity   95123P106    2449    277964 SH         DEFINED    1,2                         277964
 BANCORPORATION   shares
 INC
WEST COAST        Common equity   952145209    5909    352670 SH         DEFINED    1,2                         352670
 BANCORP/OR       shares
WEST MARINE INC   Common Stock    954235107    2845    274190 SH         DEFINED    1,2                         274190
WEST              Common equity   955306105   34551    789584 SH         DEFINED    1,2,5,6,8                   789584
 PHARMACEUTICAL   shares
 SVSC INC
WESTAMERICA       Common equity   957090103  100022   2030914 SH         DEFINED    1,2,5,6,8,12,17            2030914
 BANCORPORATION   shares
RED LION          Common equity   756764106    1776    224820 SH         DEFINED    1,2                         224820
 HOTELS CORP      shares
WESTELL TECH      Common equity   957541105    2463    690210 SH         DEFINED    1,2                         690210
 INC  -CL A       shares
WESTERN           Common equity   958102105  322175   9159560 SH         DEFINED    1,2,5,6,8,10,12,18,19      8580130
 DIGITAL CORP     shares
WESTAR ENERGY     Common equity   95709T100   79185   2942558 SH         DEFINED    1,2,5,6,8,12,17            2942558
 INC              shares
WESTMORELAND      Common Stock    960878106    2259    127290 SH         DEFINED    1,2,5                       127290
 COAL CO
WESTPAC BANKING   American        961214301     477      3970 SH         DEFINED    1                             3970
                  Depository
                  Receipt
WESTWOOD ONE INC  Common Stock    961815305     311     60034 SH         DEFINED    1,2                          60034
WET SEAL INC      Common Stock    961840105   17523   3919656 SH         DEFINED    1,2,6,8                    3919656
WEYCO GROUP INC   Common equity   962149100    3075    125017 SH         DEFINED    1,2                         125017
                  shares
WIDEPOINT CORP    Common equity   967590100      24     28400 SH         DEFINED    1                            28400
                  shares
WILLBROS GROUP    Common equity   969203108   11550   1352372 SH         DEFINED    1,2,5,6,8                  1352372
 INC              shares
CLAYTON           Common Stock    969490101   16891    281298 SH         DEFINED    1,2,5,6,8                   281298
 WILLIAMS
 ENERGY INC
MAGELLAN          Limited         559080106   14308    239543 SH         DEFINED    1                           239543
 MIDSTREAM        Partnership
 PRTNRS LP
WILLIAMS-SONOMA   Common equity   969904101  116957   3205144 SH         DEFINED    1,2,5,6,8,10,12,17,18      3205144
 INC              shares
WILSHIRE          Common equity   97186T108    3732   1269362 SH         DEFINED    1,2,6,8                    1269362
 BANCORP INC      shares
WINNEBAGO         Common equity   974637100    5987    619820 SH         DEFINED    1,2,5,6,8                   619820
 INDUSTRIES       shares
WIPRO LTD         American        97651M109   14259   1082603 SH         DEFINED    1,2,5,6,8,10               1082603
                  Depository
                  Receipt
WIRELESS          Common equity   976524108       8     10100 SH         DEFINED    1                            10100
 TELECOM GROUP    shares
 INC
KRATOS DEFENSE    Common equity   50077B207    4327    355945 SH         DEFINED    1,2                         355945
 & SECURITY       shares
WOLVERINE         Common equity   978097103   49441   1184198 SH         DEFINED    1,2,5,6,8                  1184198
 WORLD WIDE       shares
WOODWARD          Common equity   980745103   73671   2113386 SH         DEFINED    1,2,5,6,8,12               2113386
 GOVERNOR CO      shares
WORLD             Common equity   981419104   22977    350394 SH         DEFINED    1,2,5,6,8,17                350394
 ACCEPTANCE       shares
 CORP/DE







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WORLD FUEL        Common equity   981475106   66717   1856810 SH         DEFINED    1,2,5,6,8,12               1856810
 SERVICES CORP    shares
WORLD             Common equity   98156Q108    4527    474721 SH         DEFINED    1,2,6,8                     474721
 WRESTLING        shares
 ENTMT INC
X-RITE INC        Common equity   983857103    2702    544587 SH         DEFINED    1,2                         544587
                  shares
YADKIN VALLEY     Common equity   984314104      26     12679 SH         DEFINED    1                            12679
 FINANCIAL CORP   shares
YANZHOU COAL      American        984846105     899     23337 SH         DEFINED    1,6                          23337
 MINING CO LTD    Depository
                  Receipt
YORK WATER CO     Common equity   987184108    3961    239202 SH         DEFINED    1,2,5                       239202
                  shares
YOUNG             Common equity   987520103    3425    120044 SH         DEFINED    1,2                         120044
 INNOVATIONS      shares
 INC
ZALE CORP         Common equity   988858106    2439    435403 SH         DEFINED    1,2                         435403
                  shares
HARBINGER         Common equity   41146A106     837    137095 SH         DEFINED    1,2                         137095
 GROUP INC        shares
ZEBRA             Common equity   989207105   57209   1356704 SH         DEFINED    1,2,5,6,8,12               1356704
 TECHNOLOGIES     shares
 CP  -CL A
ZIX CORP          Common equity   98974P100    4368   1137884 SH         DEFINED    1,2,5                      1137884
                  shares
ZORAN CORP        Common equity   98975F101   10176   1211404 SH         DEFINED    1,2,5,6,8                  1211404
                  shares
ZOLTEK COS INC    Common equity   98975W104    6129    582107 SH         DEFINED    1,2,5,6,8                   582107
                  shares
ZYGO CORP         Common equity   989855101    4369    330170 SH         DEFINED    1,2                         330170
                  shares
ZOLL MEDICAL      Common equity   989922109   25239    445472 SH         DEFINED    1,2,5,6,8                   445472
 CORP             shares
AMDOCS LTD        Common equity   G02602103   75418   2481668 SH         DEFINED    1,2,5,6,8,12               2481668
                  shares
ARCH CAPITAL      Common equity   G0450A105   83795   2625311 SH         DEFINED    1,2,5,6,8,10,12,18         2625311
 GROUP LTD        shares
CENTRAL           Common Stock    G20045202   13894    703331 SH         DEFINED    1,2,5,6                     703331
 EUROPEAN MEDIA
CHINA YUCHAI      Common equity   G21082105     742     35200 SH         DEFINED    1,2                          35200
 INTERNATIONAL    shares
CONSOLIDATED      Common Stock    G23773107    2554    274426 SH         DEFINED    1,2,5                       274426
 WATER CO INC
FRESH DEL         Common equity   G36738105   24978    936434 SH         DEFINED    1,2,5,6,8,17                936434
 MONTE PRODUCE    shares
 INC
GARMIN LTD        Common equity   H2906T109   70013   2119556 SH         DEFINED    1,2,5,6,8,10,12,17,18      2119556
                  shares
GLOBAL SOURCES    Common equity   G39300101    2585    281322 SH         DEFINED    1,2                         281322
 LTD              shares
HELEN OF TROY     Common equity   G4388N106   31065    899576 SH         DEFINED    1,2,5,6,8                   899576
 LTD              shares
NORDIC            Common equity   G65773106   20770    913487 SH         DEFINED    1,2,5,6                     913487
 AMERICAN         shares
 TANKERS LTD
ORIENT-EXPRESS    Common equity   G67743107   24904   2316858 SH         DEFINED    1,2,3,5,6,8                2316858
 HOTELS           shares
PARTNERRE LTD     Common equity   G6852T105   79123   1149155 SH         DEFINED    1,2,5,6,8,10,12,17,18      1149155
                  shares
ARGO GROUP        Common equity   G0464B107   20810    700225 SH         DEFINED    1,2,5,6,8                   700225
 INTL HOLDINGS    shares
 LTD
SALIX             Common equity   795435106   64346   1615397 SH         DEFINED    1,2,5,6,8                  1615397
 PHARMACEUTICALS  shares
 LTD
SINA CORP         Common equity   G81477104   11475    110221 SH         DEFINED    1,2,5,6                     110221
                  shares
UTI WORLDWIDE     Common Stock    G87210103   51169   2598794 SH         DEFINED    1,2,5,6,8,12               2598794
 INC
WHITE MTNS INS    Common equity   G9618E107   43600    103773 SH         DEFINED    1,2,5,6,8,10,12,18          103773
 GROUP LTD        shares
XOMA LTD          Common equity   G9825R206      26     11497 SH         DEFINED    1                            11497
                  shares
UBS AG            Common equity   H89231338   60710   3324784 SH         DEFINED    1                          3324784
                  shares
AUDIOCODES LTD    Common equity   M15342104     228     41530 SH         DEFINED    1                            41530
                  shares
ALVARION LTD      Common Stock    M0861T100      63     42391 SH         DEFINED    1                            42391
CERAGON           Common Stock    M22013102     960     80663 SH         DEFINED    1,2                          80663
 NETWORKS LTD
CHECK POINT       Common equity   M22465104   22743    400108 SH         DEFINED    1,2,5,8,12                  400108
 SOFTWARE TECHN   shares
EZCHIP            Common Stock    M4146Y108     214      5800 SH         DEFINED    1                             5800
 SEMICONDUCTOR
 LTD
ORBOTECH LTD      Common equity   M75253100     378     29688 SH         DEFINED    1,6                          29688
                  shares
ASML HOLDING NV   Similar to      N07059186     249      6731 SH         DEFINED    1                             6731
                  ADR
                  Certificates
                  representing
                  ordinary shares
CHICAGO BRIDGE    Similar to      167250109   38358    986132 SH         DEFINED    1,2,5,6                     986132
 & IRON CO        ADR
                  Certificates
                  representing
                  ordinary shares
CNH GLOBAL NV     Common equity   N20935206   11471    296768 SH         DEFINED    1,2,5,6,8                   296768
                  shares
CORE              Common equity   N22717107   67572    605835 SH         DEFINED    1,2,5,6,8                   605835
 LABORATORIES     shares
 NV
ORTHOFIX          Common equity   N6748L102   16287    383553 SH         DEFINED    1,2,5,6,8                   383553
 INTERNATIONAL    shares
 NV
QIAGEN NV         Common Stock    N72482107   40764   2143489 SH         DEFINED    1,2,5,6                    2143489
STEINER           Common equity   P8744Y102   14343    313952 SH         DEFINED    1,2,5,6,8,17                310172          3780
 LEISURE LTD      shares
EXCEL MARITIME    Common equity   V3267N107    2237    720917 SH         DEFINED    1,2,5,6                     720917
 CARRIERS LTD     shares
ROYAL             Common equity   V7780T103   83967   2230894 SH         DEFINED    1,2,5,6,8,10,12,18         2230894
 CARIBBEAN        shares
 CRUISES LTD
AFC               Common Stock    00104Q107    8020    487547 SH         DEFINED    1,2,6                       487547
 ENTERPRISES
 INC
SEATTLE           Common Stock    812578102   59007   2875634 SH         DEFINED    1,2,5,6,8                  2875634
 GENETICS INC
SIEMENS AG        American        826197501     286      2080 SH         DEFINED    1,2                           2080
                  Depository
                  Receipt
GMX RESOURCES     Common Stock    38011M108    4496   1009868 SH         DEFINED    1,2,6,8                    1009868
 INC
NUSTAR ENERGY     Limited         67058H102    7283    112586 SH         DEFINED    1,8                         112586
 LP               Partnership
DR REDDY`S        American        256135203   12019    350118 SH         DEFINED    1,2,4,5,6                   350118
 LABORATORIES     Depository
 LTD              Receipt
PENDRELL CORP     Common equity   70686R104    6699   2418196 SH         DEFINED    1,2,6                      2418196
                  shares
DONEGAL GROUP     Common equity   257701201    3066    239430 SH         DEFINED    1,2,17                      239430
 INC              shares
ENTERPRISE        Common equity   293712105    3492    257904 SH         DEFINED    1,2                         257904
 FINL SERVICES    shares
 CP
KINDRED           Common equity   494580103   36546   1702104 SH         DEFINED    1,2,5,6,8,12,17            1702104
 HEALTHCARE INC   shares
GENON ENERGY      Common equity   37244E107   41088  10645072 SH         DEFINED    1,2,5,6,8,12              10645072
 INC              shares
RETRACTABLE       Common equity   76129W105      27     17400 SH         DEFINED    1                            17400
 TECHNOLOGIES     shares
 INC
KINDER MORGAN     Common equity   49455U100   49256    750987 SH         DEFINED    1,2,5,6,8,10,12,18          750987
 MANAGEMENT LLC   shares
ZHONE             Common Stock    98950P884      46     19855 SH         DEFINED    1                            19855
 TECHNOLOGIES
 INC
GLOBAL POWER      Common Stock    37941P306    6695    252500 SH         DEFINED    1,2,6                       252500
 EQUIPMENT
 GROUP
ACURA             Common equity   00509L703     872    225179 SH         DEFINED    1,2                         225179
 PHARMACEUTICALS  shares
 INC
BRIDGE CAPITAL    Common equity   108030107    1150    103800 SH         DEFINED    1,2                         103800
 HOLDINGS         shares
TASER             Common equity   87651B104    5844   1283767 SH         DEFINED    1,2,5,6,8                  1283767
 INTERNATIONAL    shares
 INC
ALLIANCE DATA     Common equity   018581108  146226   1554443 SH         DEFINED    1,2,5,6,8,10,12,18         1554443
 SYSTEMS CORP     shares
JOY GLOBAL INC    Common equity   481165108  357594   3754643 SH         DEFINED    1,2,5,6,8,10,12,18         3754643
                  shares
RAPTOR            Common equity   75382F106    2555    412544 SH         DEFINED    1,2                         412544
 PHARMACEUTICAL   shares
 CORP
BANNER CORP       Common equity   06652V208    4056    231680 SH         DEFINED    1,2                         231680
                  shares
GRUPO TELEVISA    American        40049J206   19495    792481 SH         DEFINED    1,2,6,18                    792481
 SAB              Depository
                  Receipt
PRINCETON         Common equity   742352107       8     39513 SH         DEFINED    1,2,5                        39513
 REVIEW INC       shares
SK TELECOM CO     American        78440P108    3946    211129 SH         DEFINED    1,2,5,6,18                  211129
 LTD              Depository
                  Receipt
PHOENIX           Common equity   71902E109    5945   2414096 SH         DEFINED    1,2,5,8                    2414096
 COMPANIES INC    shares
MOSYS INC         Common equity   619718109    2707    470539 SH         DEFINED    1,2                         470539
                  shares
WRIGHT MEDICAL    Common equity   98235T107   12659    843561 SH         DEFINED    1,2,5,6,8                   843561
 GROUP INC        shares
INLAND REAL       Real Estate     457461200   21251   2406862 SH         DEFINED    1,2,3,5,6,8                2406862
 ESTATE CORP      Investment
                  Trust
HDFC BANK LTD     American        40415F101   41007    232481 SH         DEFINED    1,2,4,5,6,8                 232481
                  Depository
                  Receipt
NATUS MEDICAL     Common Stock    639050103    9442    623232 SH         DEFINED    1,2,5,6,8                   623232
 INC
BIOSANTE          Common equity   09065V203    3838   1395017 SH         DEFINED    1,2                        1395017
 PHARMACEUTICALS  shares
 INC
MEDCATH CORP      Common equity   58404W109    6515    479713 SH         DEFINED    1,2                         479713
                  shares
INERGY LP         Misc Equity     456615103    4402    124496 SH         DEFINED    1                           124496
ALLIANCE          Common equity   018606202    2236    588045 SH         DEFINED    1,2,6                       588045
 HEALTHCARE       shares
 SVCS INC
PDF SOLUTIONS     Common equity   693282105    2001    335995 SH         DEFINED    1,2                         335995
 INC              shares
BUNGE LTD         Common equity   G16962105  178422   2587656 SH         DEFINED    1,2,5,6,8,10,12,18         2587656
                  shares
FRONTLINE LTD     Common equity   G3682E127   14789   1003355 SH         DEFINED    1,2,6,8,10                 1003355
                  shares
OMNICELL INC      Common equity   68213N109   12052    772959 SH         DEFINED    1,2,5,6,8                   772959
                  shares
ALTERRA           Common Stock    G0229R108   39912   1789771 SH         DEFINED    1,2,5,6,8                  1789771
 CAPITAL
 HOLDINGS LTD
CANADIAN          Common equity   13645T100     206      3309 SH         DEFINED    1                             3309
 PACIFIC          shares
 RAILWAY LTD
EXPRESS-1         Common equity   30217Q108      33     10700 SH         DEFINED    1                            10700
 EXPEDITED        shares
 SOLTNS
TIMBERLINE        Common equity   887133106      19     24700 SH         DEFINED    1                            24700
 RESOURCES CORP   shares
GLADSTONE         Common equity   376535100    4017    434831 SH         DEFINED    1,2,8                       434831
 CAPITAL CORP     shares
GIVEN IMAGING     Common Stock    M52020100     310     15246 SH         DEFINED    1                            15246
IMPERIAL SUGAR    Common Stock    453096208    4778    238888 SH         DEFINED    1,2                         238888
 CO
CHARTER           Common Stock    16122M100     663     66900 SH         DEFINED    1,2                          66900
 FINANCIAL
 CORP/GA
DELCATH           Common equity   24661P104    4097    794134 SH         DEFINED    1,2,8                       794134
 SYSTEMS INC      shares
CROSS COUNTRY     Common equity   227483104    4929    648637 SH         DEFINED    1,2,8                       648637
 HEALTHCARE INC   shares
PENN VIRGINIA     Composition of  707884102    1897     70422 SH         DEFINED    1                            70422
 RES PRTNR LP     more than 1
                  security
MAHANAGAR         American        559778402     245    125007 SH         DEFINED    1,8                         125007
 TELEPHONE        Depository
 NIGAM            Receipt
AMERIGROUP CORP   Common equity   03073T102   48513    688464 SH         DEFINED    1,2,5,6,8,17,18             688464
                  shares
AMN HEALTHCARE    Common equity   001744101    6272    753744 SH         DEFINED    1,2,6,8                     753744
 SERVICES INC     shares
ADVISORY BOARD    Common equity   00762W107   18715    323356 SH         DEFINED    1,2,5,6,8                   323356
 CO               shares
ACUITY BRANDS     Common equity   00508Y102   82863   1485627 SH         DEFINED    1,2,5,6,8,12               1485627
 INC              shares
WEIGHT            Common equity   948626106   31579    418342 SH         DEFINED    1,2,5,6,8,12                418342
 WATCHERS INTL    shares
 INC
BRASIL TELECOM    American        10553M101    5902    205925 SH         DEFINED    1,2,4,5,6,8,10              205925
 SA               Depository
                  Receipt
MAGMA DESIGN      Common equity   559181102    9748   1220074 SH         DEFINED    1,2,6                      1220074
 AUTOMATION INC   shares
VCA ANTECH INC    Common equity   918194101   42210   1991073 SH         DEFINED    1,2,5,6,8,12               1991073
                  shares
ALERE INC         Common Stock    01449J105   39428   1076707 SH         DEFINED    1,2,5,6,8                  1076707
STAGE STORES      Common equity   85254C305   24256   1444061 SH         DEFINED    1,2,5,6,8                  1444061
 INC              shares
MCG CAPITAL       Common equity   58047P107   10699   1759590 SH         DEFINED    1,2,6,8                    1759590
 CORP             shares
ALUMINUM CORP     American        022276109    1266     58323 SH         DEFINED    1,6                          58323
 CHINA LTD        Depository
                  Receipt
CENTENE CORP      Common equity   15135B101   40839   1149417 SH         DEFINED    1,2,5,6,8                  1149417
                  shares
FIVE STAR         Common Stock    33832D106    3742    643970 SH         DEFINED    1,2                         643970
 QUALITY CARE
 INC
WESTFIELD         Common equity   96008P104    4997    615797 SH         DEFINED    1,2,17                      615797
 FINANCIAL INC    shares
BANCO DE CHILE    American        059520106    2424     28063 SH         DEFINED    1,2,5,6,8                    28063
                  Depository
                  Receipt
ENDEAVOUR         Common Stock    29259G200    8461    561446 SH         DEFINED    1,2,6                       561446
 INTERNATIONAL
 CORP
GREEN             Common equity   394361208     100     38088 SH         DEFINED    1,2                          38088
 BANKSHARES INC   shares
HOUSTON AMERN     Common equity   44183U100    5959    328884 SH         DEFINED    1,2,6                       328884
 ENERGY CORP      shares
SYNAPTICS INC     Common equity   87157D109   20764    806784 SH         DEFINED    1,2,5,6,8                   806784
                  shares
LORILLARD INC     Common equity   544147101  565717   5196238 SH         DEFINED    1,2,5,6,8,10,12,17,18      5196238
                  shares
COGENT            Common equity   19239V302   15667    921009 SH         DEFINED    1,2,5,6,8                   921009
 COMMUNICATIONS   shares
 GRP
SUNOCO            Composition of  86764L108    4195     48695 SH         DEFINED    1,8                          48695
 LOGISTICS        more than 1
 PARTNERS LP      security
ISHARES S&P       Investments     464287200    8177     61752 SH         DEFINED    6                            61752
 500 FUND         that contain a
                  pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES           Investments     464287622     298      4030 SH         DEFINED    1                             4030
 RUSSELL 1000     that contain a
 INDEX FUND       pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES S&P       Investments     464287804   56587    771793 SH         DEFINED    1,2                         771793
 SMALL CAP 600    that contain a
 INDEX FUND       pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
MVC CAPITAL       Common equity   553829102    5613    424285 SH         DEFINED    1,2,8                       424285
 INC.             shares
MANTECH INTL      Common equity   564563104   34378    773957 SH         DEFINED    1,2,5,6,8,12                773957
 CORP             shares
AMBASSADORS       Common equity   023177108    3188    361017 SH         DEFINED    1,2,8                       361017
 GROUP INC        shares
GAMESTOP CORP     Common equity   36467W109  144494   5417817 SH         DEFINED    1,2,5,6,8,10,12,18         5417817
                  shares
TSAKOS ENERGY     Common equity   G9108L108     129     12939 SH         DEFINED    1,5,6                        12939
 NAVIGATION LTD   shares
ASBURY            Common equity   043436104   18144    979109 SH         DEFINED    1,2,5,6,8                   979109
 AUTOMOTIVE       shares
 GROUP INC
DOVER DOWNS       Common equity   260095104      44     13664 SH         DEFINED    1                            13664
 GAMING & ENTMT   shares
CALAVO GROWERS    Common equity   128246105    4722    224253 SH         DEFINED    1,2,6,8                     224253
 INC              shares
UNITED            Common equity   90984P303    4063    384798 SH         DEFINED    1,2,6,8                     384798
 COMMUNITY        shares
 BANKS INC
VALE SA           American        91912E105  467198  14622894 SH         DEFINED    1,2,4,5,6,8,10,18         14622894
                  Depository
                  Receipt
VANGUARD ETF      Investments     922908769    1383     20235 SH         DEFINED    1                            20235
 TOTAL STOCK      that contain a
 MARKET           pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
JETBLUE           Common equity   477143101   47423   7774249 SH         DEFINED    1,2,5,6,12                 7774249
 AIRWAYS CORP     shares
LIN TV CORP       Common equity   532774106    3008    617676 SH         DEFINED    1,2                         617676
                  shares
REGAL             Common equity   758766109   13270   1074566 SH         DEFINED    1,2,5,6,8                  1074566
 ENTERTAINMENT    shares
 GROUP
CIA SANEAMENTO    American        20441A102   44505    745853 SH         DEFINED    1,2,5,6,10,18               745853
 BASICO ESTADO    Depository
                  Receipt
AEROPOSTALE INC   Common equity   007865108   55089   3147702 SH         DEFINED    1,2,5,6,8,12               3147702
                  shares
VERINT SYSTEMS    Common Stock    92343X100   14053    379351 SH         DEFINED    1,2,6,8                     379351
 INC
COMPUTER          Common equity   205306103   15121    238251 SH         DEFINED    1,2,5,6,8                   238251
 PROGRAMS &       shares
 SYSTEMS
MARKWEST          Limited         570759100    6193    128379 SH         DEFINED    1                           128379
 ENERGY           Partnership
 PARTNERS LP
AU OPTRONICS      American        002255107    4779    694585 SH         DEFINED    1,2,6,8                     694585
 CORP             Depository
                  Receipt
NETFLIX INC       Common equity   64110L106  431723   1643475 SH         DEFINED    1,2,5,6,8,10,12,18         1643475
                  shares
ENPRO             Common equity   29355X107   24618    512122 SH         DEFINED    1,2,5,6,8                   512122
 INDUSTRIES INC   shares
SRA               Common equity   78464R105   43898   1419739 SH         DEFINED    1,2,5,6,8,12               1419739
 INTERNATIONAL    shares
 INC
OVERSTOCK.COM INC Common equity   690370101    4698    308738 SH         DEFINED    1,2,5,6,8                   308738
                  shares
BANK OF NOVA      Common equity   064149107     554      9200 SH         DEFINED    1,8                           9200
 SCOTIA           shares
PACER             Common equity   69373H106    3685    781252 SH         DEFINED    1,2,6,8                     781252
 INTERNATIONAL    shares
 INC
WESTWOOD          Common equity   961765104    4433    116390 SH         DEFINED    1,2                         116390
 HOLDINGS         shares
 GROUP INC
ARCADIA           Common equity   039209101       7     83800 SH         DEFINED    1                            83800
 RESOURCES INC    shares
BIG 5 SPORTING    Common equity   08915P101    4411    561327 SH         DEFINED    1,2,5,8                     561327
 GOODS CORP       shares
NASDAQ OMX        Common equity   631103108  140970   5571886 SH         DEFINED    1,2,5,6,8,10,12,18         5571886
 GROUP INC        shares
SANOFI            American        80105N105     905     22541 SH         DEFINED    1,2                          22541
                  Depository
                  Receipt
RUSH              Common equity   781846209   12591    661323 SH         DEFINED    1,2,5,6,8                   661323
 ENTERPRISES      shares
 INC
KIRKLAND`S INC    Common Stock    497498105    3894    323869 SH         DEFINED    1,2,6,8                     323869
RED ROBIN         Common equity   75689M101   11859    326023 SH         DEFINED    1,2,5,8                     326023
 GOURMET          shares
 BURGERS
LEAPFROG          Common equity   52186N106    2842    672912 SH         DEFINED    1,2,6                       672912
 ENTERPRISES      shares
 INC
FIRST PACTRUST    Common equity   33589V101    1546    104100 SH         DEFINED    1,2                         104100
 BANCORP          shares
TRAVELZOO INC     Common equity   89421Q106    6401     99088 SH         DEFINED    1,2,6                        99088
                  shares
SAIA INC          Common equity   78709Y105    5886    347370 SH         DEFINED    1,2,5,6,17                  337260         10110
                  shares
CIMAREX ENERGY    Common equity   171798101  239746   2666068 SH         DEFINED    1,2,5,6,8,10,12,18         2666068
 CO               shares
NEWCASTLE         Real Estate     65105M108    8259   1429402 SH         DEFINED    1,2,6,8                    1429402
 INVESTMENT       Investment
 CORP             Trust
MONTPELIER RE     Common equity   G62185106   27656   1536679 SH         DEFINED    1,2,5,6,8                  1536679
 HOLDINGS         shares
ENBRIDGE          Common equity   29250X103    1664     53824 SH         DEFINED    1,5,8                        53824
 ENERGY MGMT      shares
 LLC
NATURAL           Limited         63900P103    2839     85594 SH         DEFINED    1                            85594
 RESOURCE         Partnership
 PARTNERS LP
DICKS SPORTING    Common equity   253393102   96999   2522679 SH         DEFINED    1,2,5,6,8,12               2522679
 GOODS INC        shares
TAYLOR CAPITAL    Common equity   876851106    1449    177986 SH         DEFINED    1,2                         177986
 GROUP INC        shares
NATURAL GAS       Common equity   63886Q109    4239    262360 SH         DEFINED    1,2                         262360
 SERVICES GROUP   shares
WYNN RESORTS      Common equity   983134107  381178   2655573 SH         DEFINED    1,2,5,6,8,10,12,18         2655573
 LTD              shares
PLATINUM          Common equity   G7127P100   31286    941215 SH         DEFINED    1,2,5,6,8,17                941215
 UNDERWRITERS     shares
 HLDG
OVERHILL FARMS    Common equity   690212105      66     11920 SH         DEFINED    1                            11920
 INC              shares
CEVA INC          Common Stock    157210105   15556    510699 SH         DEFINED    1,2,6,8                     510699
PORTFOLIO         Common equity   73640Q105   30503    359778 SH         DEFINED    1,2,5,6,8,17,18             359778
 RECOVRY ASSOC    shares
 INC
CHINA TELECOM     American        169426103     438      6681 SH         DEFINED    1,6                           6681
 CORP LTD         Depository
                  Receipt
SENOMYX INC       Common equity   81724Q107    3414    664369 SH         DEFINED    1,2                         664369
                  shares
NII HOLDINGS      Common equity   62913F201  116902   2758305 SH         DEFINED    1,2,5,6,8,10,12,18         2758305
 INC              shares
COSI INC          Common equity   22122P101      30     31987 SH         DEFINED    1                            31987
                  shares
SAFETY            Common equity   78648T100   12146    288966 SH         DEFINED    1,2,5,6,8,17                288966
 INSURANCE        shares
 GROUP INC
SEAGATE           Common Stock    G7945M107   69437   4297171 SH         DEFINED    1,2,5,6,8,10,12,18         4297171
 TECHNOLOGY PLC
GOLAR LNG LTD     Common Stock    G9456A100   22560    646700 SH         DEFINED    1,2,6                       646700
ACACIA            Tracking Stock  003881307   29609    807201 SH         DEFINED    1,2,6,8                     807201
 RESEARCH CORP
PLAINS            Common equity   726505100  161335   4232373 SH         DEFINED    1,2,5,6,8,10,12,18         4232373
 EXPLORATION &    shares
 PROD CO
BROOKFIELD        Common Stock    11283W104     524     52769 SH         DEFINED    1,2,8                        52769
 RESIDENTIAL
 PPTYS
PROVIDENT         Common equity   74386T105   32897   2297226 SH         DEFINED    1,2,5,6,8                  2297226
 FINANCIAL        shares
 SVCS INC
ASPENBIO          Common equity   045346103      15     23478 SH         DEFINED    1                            23478
 PHARMA INC       shares
HALOZYME          Common equity   40637H109   14757   2135413 SH         DEFINED    1,2,5,6,8                  2135413
 THERAPEUTICS     shares
 INC
WARNACO GROUP     Common equity   934390402   85447   1635398 SH         DEFINED    1,2,5,6,8,12               1635398
 INC              shares
INFINITY          Common equity   45665Q103   15271    279403 SH         DEFINED    1,2,5,6,8                   279403
 PROPERTY &       shares
 CAS CORP
PROCERA           Common equity   74269U203    1395    129930 SH         DEFINED    1,2                         129930
 NETWORKS INC     shares
ENDURANCE         Common equity   G30397106   22348    540671 SH         DEFINED    1,2,5,6,8,17                540671
 SPECIALTY        shares
 HOLDINGS
HUDSON            Common Stock    443792106    2854    533808 SH         DEFINED    1,2                         533808
 HIGHLAND
 GROUP INC
INTERCONTINENTAL  American        45857P301     277     13423 SH         DEFINED    1                            13423
 HOTELS GRP       Depository
                  Receipt







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             

TRUE RELIGION     Common Stock    89784N104   15615    536844 SH         DEFINED    1,2,5,6,8                   536844
 APPAREL INC
FORMFACTOR INC    Common equity   346375108    9156   1010645 SH         DEFINED    1,2,5,6,8                  1010645
                  shares
MINDSPEED         Common Stock    602682205    4664    582958 SH         DEFINED    1,2                         582958
 TECHNOLOGIES
 INC
CAVCO             Common equity   149568107    5356    118862 SH         DEFINED    1,2,5                       118862
 INDUSTRIES INC   shares
AXIS CAPITAL      Common equity   G0692U109   78052   2521287 SH         DEFINED    1,2,5,6,8,10,12,18         2521287
 HOLDINGS LTD     shares
MOLINA            Common equity   60855R100   14376    530012 SH         DEFINED    1,2,5,6,8                   530012
 HEALTHCARE INC   shares
DTS INC           Common equity   23335C101   14825    365664 SH         DEFINED    1,2,5,6,8                   365664
                  shares
IPASS INC         Common equity   46261V108      49     32528 SH         DEFINED    1                            32528
                  shares
NETGEAR INC       Common equity   64111Q104   33395    763822 SH         DEFINED    1,2,5,6,8                   763822
                  shares
CAPITALSOURCE     Real Estate     14055X102   27790   4308707 SH         DEFINED    1,2,5,6,8                  4308707
 INC              Investment
                  Trust
GLADSTONE         REIT            376536108    2773    159845 SH         DEFINED    1,2,5                       159845
 COMMERCIAL
 CORP
TEXAS CAPITAL     Common equity   88224Q107   32158   1244913 SH         DEFINED    1,2,5,6,8                  1244913
 BANCSHARES INC   shares
PROVIDENCE        Common equity   743815102    3811    301162 SH         DEFINED    1,2                         301162
 SERVICE CORP     shares
ASHFORD           Real Estate     044103109   20079   1613008 SH         DEFINED    1,2,3,5,6,8                1613008
 HOSPITALITY      Investment
 TRUST            Trust
CYTORI            Common equity   23283K105    3551    741739 SH         DEFINED    1,2                         741739
 THERAPEUTICS INC shares
AURICO GOLD INC   Common equity   05155C105     544     49449 SH         DEFINED    1                            49449
                  shares
ENTERTAINMENT     Common equity   29383V107      20     72100 SH         DEFINED    1                            72100
 GAMING ASIA      shares
ABOVENET INC      Common equity   00374N107   35617    505425 SH         DEFINED    1,2,5,6,8                   505425
                  shares
NATIONAL          Common equity   63607P208   11480    995072 SH         DEFINED    1,2,5,6,8                   995072
 FINANCIAL        shares
 PRTNRS CP
CHELSEA           Common equity   163428105    3922    768986 SH         DEFINED    1,2                         768986
 THERAPEUTICS     shares
 INTL
JOURNAL           Common equity   481130102    4862    940510 SH         DEFINED    1,2                         940510
 COMMUNICATIONS   shares
 INC
JONES SODA CO     Common equity   48023P106      23     21100 SH         DEFINED    1                            21100
                  shares
WOORI FINANCE     American        981063100     545     13822 SH         DEFINED    1,6,18                       13822
 HOLDINGS CO      Depository
                  Receipt
LKQ CORP          Common equity   501889208   92224   3534978 SH         DEFINED    1,2,5,6,8,12               3534978
                  shares
FIRST POTOMAC     Real Estate     33610F109   24725   1614821 SH         DEFINED    1,2,3,6,8                  1614821
 REALTY TRUST     Investment
                  Trust
MICROMET INC      Common Stock    59509C105   15299   2665718 SH         DEFINED    1,2,6,8                    2665718
FIRST             Common equity   320771108    2136   1208200 SH         DEFINED    1,2,6                      1208200
 MARBLEHEAD       shares
 CORP
QUALITY           Common equity   74756M102    2263    173879 SH         DEFINED    1,2                         173879
 DISTRIBUTION     shares
 INC
CINEDIGM          Common equity   172407108      29     17000 SH         DEFINED    1                            17000
 DIGITAL          shares
 CINEMA CORP
BIONOVO INC       Common equity   090643206      22     30018 SH         DEFINED    1                            30018
                  shares
MARLIN            Common equity   571157106    1907    150771 SH         DEFINED    1,2,17                      137061         13710
 BUSINESS         shares
 SERVICES INC
TESSERA           Common equity   88164L100   23435   1367113 SH         DEFINED    1,2,5,6,8                  1367113
 TECHNOLOGIES     shares
 INC
CALLIDUS          Common equity   13123E500    2246    383650 SH         DEFINED    1,2                         383650
 SOFTWARE INC     shares
WHITING           Common equity   966387102  110783   1946677 SH         DEFINED    1,2,5,6,8,10,12,18         1946677
 PETROLEUM CORP   shares
BUFFALO WILD      Common equity   119848109   25713    387764 SH         DEFINED    1,2,5,6,8                   387764
 WINGS INC        shares
TICC CAPITAL      Common equity   87244T109    5604    583871 SH         DEFINED    1,2,8,17                    583871
 CORP             shares
NEXSTAR           Common equity   65336K103    1386    168829 SH         DEFINED    1,2                         168829
 BROADCASTING     shares
 GROUP
CONN`S INC        Common equity   208242107    2420    280019 SH         DEFINED    1,2                         280019
                  shares
PINNACLE          Common equity   723443107      58     12544 SH         DEFINED    1                            12544
 AIRLINES CORP    shares
SYNNEX CORP       Common equity   87162W100   16652    525401 SH         DEFINED    1,2,5,6,8                   525401
                  shares
CORINTHIAN        Common equity   218868107    7690   1805070 SH         DEFINED    1,2,5,6,8                  1805070
 COLLEGES INC     shares
CORPBANCA         American        21987A209    3439    143929 SH         DEFINED    1,2,5,6,10                  143929
                  Depository
                  Receipt
NRG ENERGY INC    Common equity   629377508  274020  11147992 SH         DEFINED    1,2,5,6,8,10,12,18        11147992
                  shares
AMERICAN EQTY     Common equity   025676206   16799   1321779 SH         DEFINED    1,2,5,6,8                  1321779
 INVT LIFE HLDG   shares
ASPEN             Common equity   G05384105   46302   1799343 SH         DEFINED    1,2,5,6,8,12               1799343
 INSURANCE        shares
 HOLDINGS LTD
KRONOS            Common equity   50105F105    5172    164485 SH         DEFINED    1,2,6                       164485
 WORLDWIDE INC    shares
YAMANA GOLD INC   Common equity   98462Y100     235     20182 SH         DEFINED    1,8,18                       20182
                  shares
NELNET INC        Common equity   64031N108   12920    585714 SH         DEFINED    1,2,5,6,8                   585714
                  shares
COMPASS           Common equity   20451N101  100028   1162171 SH         DEFINED    1,2,5,6,8,12               1162171
 MINERALS INTL    shares
 INC
DDI CORP          Common Stock    233162502    2372    248487 SH         DEFINED    1,2                         248487
GLOBAL            Common equity   G39319101    6949    313380 SH         DEFINED    1,2,5,8                     313380
 INDEMNITY PLC    shares
CHINA LIFE        American        16939P106    1407     27150 SH         DEFINED    1,6                          27150
 INSURANCE        Depository
 (CHN)            Receipt
UNIVERSAL         Common equity   913915104    9008    455513 SH         DEFINED    1,2,5,6,8                   455513
 TECHNICAL INST   shares
KNOLOGY INC       Common equity   499183804   10458    704305 SH         DEFINED    1,2,5,6,8                   704305
                  shares
TEMPUR PEDIC      Common equity   88023U101   85770   1264608 SH         DEFINED    1,2,5,6,8                  1264608
 INTL INC         shares
U S GEOTHERMAL    Common equity   90338S102      28     39100 SH         DEFINED    1                            39100
 INC              shares
CROSSTEX          Common equity   22765Y104   11231    943498 SH         DEFINED    1,2,5                       943498
 ENERGY INC       shares
GEOEYE INC        Common Stock    37250W108   17157    458706 SH         DEFINED    1,2,5,6,8                   458706
GLOBAL            Common equity   G3921A175   23798    619883 SH         DEFINED    1,2,5,6,8                   619883
 CROSSING LTD     shares
BANCORP INC       Common equity   05969A105    5421    518751 SH         DEFINED    1,2                         518751
                  shares
GTX INC           Common equity   40052B108     981    204771 SH         DEFINED    1,2                         204771
                  shares
TRW AUTOMOTIVE    Common equity   87264S106   91098   1543241 SH         DEFINED    1,2,5,6,8,10,12,17,18      1543241
 HOLDINGS CORP    shares
ASSET             Common equity   04543P100      52     12663 SH         DEFINED    1,6                          12663
 ACCEPTANCE       shares
 CAPITL CP
ASSURANT INC      Common equity   04621X108  166932   4602349 SH         DEFINED    1,2,5,6,8,10,12,18         4602349
                  shares
HILLTOP           Common equity   432748101    7380    834992 SH         DEFINED    1,2,5,6,8                   834992
 HOLDINGS INC     shares
DYNAVAX           Common Stock    268158102    4358   1584018 SH         DEFINED    1,2                        1584018
 TECHNOLOGIES
 CORP
KINETIC           Common equity   49460W208   95135   1650754 SH         DEFINED    1,2,5,6,8,12,17,18         1650754
 CONCEPTS INC     shares
CLIFTON           Common equity   18712Q103    2125    192565 SH         DEFINED    1,2,17                      192565
 SAVINGS          shares
 BANCORP INC
TNS INC           Common equity   872960109    8689    523449 SH         DEFINED    1,2,5,6,8                   523449
                  shares
CYCLACEL          Common equity   23254L108      31     22800 SH         DEFINED    1                            22800
 PHARMACEUTICALS  shares
SEMICONDUCTOR     American        81663N206     109     26779 SH         DEFINED    1,6                          26779
 MFG INTL CORP    Depository
                  Receipt
CAPLEASE INC      Real Estate     140288101    7432   1512436 SH         DEFINED    1,2,3,5,8                  1512436
                  Investment
                  Trust
SIGNATURE         Common equity   82669G104   65830   1150929 SH         DEFINED    1,2,5,6,8,18               1150929
 BANK/NY          shares
BROADWIND         Common equity   11161T108    2163   1492719 SH         DEFINED    1,2,6                      1492719
 ENERGY INC       shares
ULTRA CLEAN       Common equity   90385V107    3419    376364 SH         DEFINED    1,2                         376364
 HOLDINGS INC     shares
ANADYS            Common equity   03252Q408      32     31200 SH         DEFINED    1                            31200
 PHARMACEUTICALS  shares
 INC
HORNBECK          Common equity   440543106   25425    924500 SH         DEFINED    1,2,5,6,8                   924500
 OFFSHORE SVCS    shares
 INC
CUTERA INC        Common equity   232109108     111     13044 SH         DEFINED    1                            13044
                  shares
MARCHEX INC       Common Stock    56624R108    3718    418845 SH         DEFINED    1,2                         418845
SANTARUS INC      Common Stock    802817304    3934   1167389 SH         DEFINED    1,2                        1167389
APOLLO            Common equity   03761U106   63711   6240282 SH         DEFINED    1,2,5,6,8,12               6240282
 INVESTMENT       shares
 CORP
ARBOR REALTY      Real Estate     038923108      79     16800 SH         DEFINED    1                            16800
 TRUST INC        Investment
                  Trust
CORCEPT           Common equity   218352102    1834    460165 SH         DEFINED    1,2                         460165
 THERAPEUTICS     shares
 INC
EXIDE             Common Stock    302051206   13294   1740153 SH         DEFINED    1,2,5,6,8                  1740153
 TECHNOLOGIES
ASSURED           Common equity   G0585R106   35666   2186895 SH         DEFINED    1,2,5,6,8                  2186895
 GUARANTY LTD     shares
CYTOKINETICS      Common Stock    23282W100      46     36822 SH         DEFINED    1                            36822
 INC
INTERSECTIONS     Common equity   460981301    2117    116300 SH         DEFINED    1,2                         116300
 INC              shares
URANERZ ENERGY    Common equity   91688T104    2383    788900 SH         DEFINED    1,2                         788900
 CORP             shares
GREENHILL & CO    Common equity   395259104   37317    693334 SH         DEFINED    1,2,5,6,8,12                693334
 INC              shares
NUVASIVE INC      Common equity   670704105   29438    895282 SH         DEFINED    1,2,5,6,8                   895282
                  shares
SHANDA            American        81941Q203    1985     51176 SH         DEFINED    1,2,6                        51176
 INTERACTIVE-ADR  Depository
                  Receipt
BLUE NILE INC     Common equity   09578R103   17451    396846 SH         DEFINED    1,2,5,6,8                   396846
                  shares
RAM ENERGY        Common equity   75130P109      41     32600 SH         DEFINED    1                            32600
 RESOURCES INC    shares
GENWORTH          Common equity   37247D106  206155  20053736 SH         DEFINED    1,2,5,6,8,10,12,18        20053736
 FINANCIAL INC    shares
ACADIA            Common equity   004225108      41     25160 SH         DEFINED    1                            25160
 PHARMACEUTICALS  shares
 INC
ANGIODYNAMICS     Common equity   03475V101    7296    512846 SH         DEFINED    1,2,8                       512846
 INC              shares
CORNERSTONE       Common equity   21924P103    1494    166735 SH         DEFINED    1,2                         166735
 THERAPEUTICS     shares
 INC
REPUBLIC          Common equity   760276105    4908    898795 SH         DEFINED    1,2,5                       898795
 AIRWAYS HLDGS    shares
 INC
STANDARD          Common equity   853790103    4345    272139 SH         DEFINED    1,2,6                       272139
 PARKING CORP     shares
ALNYLAM           Common Stock    02043Q107   10017   1069103 SH         DEFINED    1,2,5,6,8                  1069103
 PHARMACEUTICALS
 INC
TPC GROUP INC     Common Stock    89236Y104   60380   1539514 SH         DEFINED    1,2,5,6,8                  1539514
INHIBITEX INC     Common equity   45719T103    3417    871457 SH         DEFINED    1,2,6                       871457
                  shares
CB RICHARD        Common equity   12497T101  281528  11211582 SH         DEFINED    1,2,3,5,6,8,10,12,18      11211582
 ELLIS GROUP      shares
 INC
BLACKBOARD INC    Common equity   091935502   33141    763702 SH         DEFINED    1,2,5,6,8                   763702
                  shares
MOMENTA           Common Stock    60877T100   31628   1625376 SH         DEFINED    1,2,5,6,8                  1625376
 PHARMACEUTICALS
 INC
MONEYGRAM         Common equity   60935Y109    5778   1740929 SH         DEFINED    1,2,6                      1740929
 INTERNATIONAL    shares
 INC
SALESFORCE.COM    Common equity   79466L302  656781   4408517 SH         DEFINED    1,2,5,6,8,10,12,18         4408517
 INC              shares
WCA WASTE CORP    Common equity   92926K103    1043    181200 SH         DEFINED    1,2                         181200
                  shares
GOL LINHAS        American        38045R107     564     46325 SH         DEFINED    1,6,10                       46325
 AEREAS           Depository
 INTELIGENT       Receipt
STRATEGIC         Real Estate     86272T106   28971   4092384 SH         DEFINED    1,2,3,6,8                  4092384
 HOTELS &         Investment
 RESORTS          Trust
XYRATEX LTD       Common equity   G98268108    6689    652345 SH         DEFINED    1,2                         652345
                  shares
CABELAS INC       Common equity   126804301   29931   1102360 SH         DEFINED    1,2,5,6,8                  1102360
                  shares
METALICO INC      Common equity   591176102    3719    630082 SH         DEFINED    1,2                         630082
                  shares
MULTI-FINELINE    Common equity   62541B101    4447    206006 SH         DEFINED    1,2,5,6,8                   206006
 ELECTRON INC     shares
LIFE TIME         Common equity   53217R207   59642   1494279 SH         DEFINED    1,2,5,6,8,12               1494279
 FITNESS INC      shares
WELLCARE          Common equity   94946T106   70674   1374708 SH         DEFINED    1,2,5,6,8,12               1374708
 HEALTH PLANS     shares
 INC
HILL              Common equity   431466101    2609    453420 SH         DEFINED    1,2,6                       453420
 INTERNATIONAL    shares
 INC
HOLLY ENERGY      Limited         435763107    1259     23203 SH         DEFINED    1                            23203
 PARTNERS LP      Partnership
JAMES RIVER       Common Stock    470355207   44657   2144970 SH         DEFINED    1,2,5,6,8                  2144970
 COAL CO
NETLOGIC          Common Stock    64118B100   62030   1534592 SH         DEFINED    1,2,5,6,8                  1534592
 MICROSYSTEMS
 INC
VIRGIN MEDIA      Common equity   92769L101  162134   5417117 SH         DEFINED    1,2,5,6,8,10,12,18         5417117
 INC              shares
DOMINO`S PIZZA    Common equity   25754A201   30292   1200255 SH         DEFINED    1,2,5,6,8                  1200255
 INC              shares
MCCORMICK &       Common equity   579793100    2245    261517 SH         DEFINED    1,2                         261517
 SCHMICKS         shares
 SEAFOOD
ATLAS AIR         Common equity   049164205   33779    567595 SH         DEFINED    1,2,5,6,8                   567595
 WORLDWIDE        shares
 HLDG INC
SYNTHESIS         Common equity   871628103      43     23100 SH         DEFINED    1                            23100
 ENERGY           shares
 SYSTEMS INC
BLACKBAUD INC     Common equity   09227Q100   26150    943465 SH         DEFINED    1,2,5,6,8                   943465
                  shares
IDENIX            Common equity   45166R204    3780    754696 SH         DEFINED    1,2,6                       754696
 PHARMACEUTICALS  shares
 INC
LG DISPLAY CO     American        50186V102    1831    130413 SH         DEFINED    1,2,6,18                    130413
 LTD              Depository
                  Receipt
AUXILIUM          Common Stock    05334D107   26020   1327638 SH         DEFINED    1,2,5,6,8                  1327638
 PHARMA INC
BUCYRUS           Common equity   118759109  208972   2279934 SH         DEFINED    1,2,5,6,8,10,12,18         2279934
 INTERNATIONAL    shares
 INC
PROSPECT          Common equity   74348T102   19576   1936364 SH         DEFINED    1,2,6,8                    1936364
 CAPITAL CORP     shares
GRAMERCY          Real Estate     384871109     298     98255 SH         DEFINED    1                            98255
 CAPITAL CORP     Investment
                  Trust
MANNKIND CORP     Common equity   56400P201    4996   1314395 SH         DEFINED    1,2,5,6,8                  1314395
                  shares
VOLTERRA          Common equity   928708106   13898    563421 SH         DEFINED    1,2,6,8                     563421
 SEMICONDUCTOR    shares
 CORP
ENERSYS INC       Common equity   29275Y102   37469   1088530 SH         DEFINED    1,2,5,6,8                  1088530
                  shares
COMMERCIAL        Common equity   202608105    6724    473657 SH         DEFINED    1,2,6                       473657
 VEHICLE GROUP    shares
 INC
RIGHTNOW          Common Stock    76657R106   15520    479055 SH         DEFINED    1,2,6,8                     479055
 TECHNOLOGIES
 INC
BIOMED REALTY     Real Estate     09063H107   87716   4558818 SH         DEFINED    1,2,3,5,6,8                4558818
 TRUST INC        Investment
                  Trust
SYNERON           Common equity   M87245102     190     15703 SH         DEFINED    1,5                          15703
 MEDICAL LTD      shares
VOYAGER OIL &     Common Stock    92911K100    1539    518300 SH         DEFINED    1,2                         518300
 GAS INC
KITE REALTY       Real Estate     49803T102    9582   1925257 SH         DEFINED    1,2,3,6,8                  1925257
 GROUP TRUST      Investment
                  Trust
WESTLAKE          Common equity   960413102   10922    210447 SH         DEFINED    1,2,5,6,8                   210447
 CHEMICAL CORP    shares
AMERICAN          Real Estate     024835100   79546   2239509 SH         DEFINED    1,2,3,5,6,8                2239509
 CAMPUS           Investment
 COMMUNITIES      Trust
EXTRA SPACE       Real Estate     30225T102   68167   3195983 SH         DEFINED    1,2,3,5,6,8                3195983
 STORAGE INC      Investment
                  Trust
STEREOTAXIS INC   Common equity   85916J102    2006    571509 SH         DEFINED    1,2,6                       571509
                  shares
LEAP WIRELESS     Common equity   521863308   19872   1224358 SH         DEFINED    1,2,5,6,8                  1224358
 INTL INC         shares
GOOGLE INC        Common equity   38259P508 4971743   9818217 SH         DEFINED    1,2,5,6,8,10,12,18         9818217
                  shares
COHEN & STEERS    Common equity   19247A100   11733    353946 SH         DEFINED    1,2,5,6,8                   353946
 INC              shares
ZIOPHARM          Common equity   98973P101    6888   1125756 SH         DEFINED    1,2,6                      1125756
 ONCOLOGY INC     shares
INTEROIL CORP     Common Stock    460951106     288      4918 SH         DEFINED    5                             4918
HAYNES            Common equity   420877201   29477    475926 SH         DEFINED    1,2,5,6,8                   475926
 INTERNATIONAL    shares
 INC
BEACON ROOFING    Common equity   073685109   21097    924489 SH         DEFINED    1,2,5,6,8                   924489
 SUPPLY INC       shares
TATA MOTORS LTD   American        876568502   13045    579556 SH         DEFINED    1,2,5,6,8                   579556
                  Depository
                  Receipt
CPFL ENERGIA SA   American        126153105    4189     48210 SH         DEFINED    1,2,6,10                     48210
                  Depository
                  Receipt
NESS              Common equity   64104X108    3306    436615 SH         DEFINED    1,2,8                       436615
 TECHNOLOGIES     shares
 INC
PRIMUS            Common equity   G72457107    2629    500781 SH         DEFINED    1,2                         500781
 GUARANTY LTD     shares
ARES CAPITAL      Common equity   04010L103   34855   2169028 SH         DEFINED    1,2,5,6,8                  2169028
 CORP             shares
TEXAS             Common equity   882681109   21656   1234986 SH         DEFINED    1,2,5,6,8                  1234986
 ROADHOUSE INC    shares
THERAVANCE INC    Common equity   88338T104   40792   1836809 SH         DEFINED    1,2,5,6,8                  1836809
                  shares
NEW YORK & CO     Common equity   649295102    2297    464418 SH         DEFINED    1,2,6                       464418
 INC              shares
THOMAS            Common equity   884453101      88     27400 SH         DEFINED    1                            27400
 PROPERTIES       shares
 GROUP
HURON             Common equity   447462102   13543    448402 SH         DEFINED    1,2,5,6,8                   448402
 CONSULTING       shares
 GROUP INC
LOCAL.COM CORP    Common equity   53954R105      54     16307 SH         DEFINED    1,2                          16307
                  shares
SUNSTONE HOTEL    Real Estate     867892101   35518   3831405 SH         DEFINED    1,2,3,5,6,8                3831405
 INVESTORS INC    Investment
                  Trust
TOWER GROUP INC   Common equity   891777104   20604    865018 SH         DEFINED    1,2,5,6,8                   865018
                  shares
U-STORE-IT        Real Estate     91274F104   32468   3086293 SH         DEFINED    1,2,3,5,6,8                3086293
 TRUST            Investment
                  Trust
NORTHSTAR         Real Estate     66704R100    6374   1581058 SH         DEFINED    1,2,5,6,8                  1581058
 REALTY           Investment
 FINANCE CP       Trust
BUILD-A-BEAR      Common equity   120076104    1910    293694 SH         DEFINED    1,2                         293694
 WORKSHOP INC     shares
CALAMOS ASSET     Common equity   12811R104    6419    442086 SH         DEFINED    1,2,5,6,8                   442086
 MANAGEMENT INC   shares
DREAMWORKS        Common Stock    26153C103   37212   1851630 SH         DEFINED    1,2,5,6,8,12               1851630
 ANIMATION INC
DIGITAL REALTY    Real Estate     253868103  144542   2339543 SH         DEFINED    1,2,3,5,6,8,12             2339543
 TRUST INC        Investment
                  Trust
NORTHWESTERN      Common equity   668074305   31173    941526 SH         DEFINED    1,2,5,6,8                   941526
 CORP             shares
MARKETAXESS       Common equity   57060D108   14606    582835 SH         DEFINED    1,2,6,8                     582835
 HOLDINGS INC     shares
COPANO ENERGY     Common equity   217202100     516     15091 SH         DEFINED    1,5                          15091
 LLC              shares
NGP CAPITAL       Common equity   62912R107    3699    450975 SH         DEFINED    1,2                         450975
 RESOURCES CO.    shares
NALCO HOLDING     Common equity   62985Q101   41629   1497050 SH         DEFINED    1,2,5,6,8                  1497050
 CO               shares
ORMAT             Common equity   686688102    8310    377603 SH         DEFINED    1,2,5,6,8                   377603
 TECHNOLOGIES     shares
 INC
SPDR GOLD TRUST   Investments     78463V107   87396    598674 SH         DEFINED    1,2                         598674
                  that contain a
                  pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
MONOLITHIC        Common Stock    609839105   12172    789379 SH         DEFINED    1,2,5,6,8                   789379
 POWER SYSTEMS
 INC
REXAHN            Common equity   761640101      33     26700 SH         DEFINED    1                            26700
 PHARMACEUTICALS  shares
 INC
HOME FEDERAL      Common equity   43710G105    3273    297882 SH         DEFINED    1,2,5                       297882
 BANCORP INC      shares
SYMMETRY          Common equity   871546206    6486    723199 SH         DEFINED    1,2,5,6,8                   723199
 MEDICAL INC      shares
BILL BARRETT      Common equity   06846N104   87448   1886705 SH         DEFINED    1,2,5,6,8,12               1886705
 CORP             shares
MARKET LEADER     Common equity   57056R103      30     14100 SH         DEFINED    1                            14100
 INC              shares
BLUELINX          Common equity   09624H109      40     17200 SH         DEFINED    1                            17200
 HOLDINGS INC     shares
GREAT WOLF        Common equity   391523107     138     45686 SH         DEFINED    1                            45686
 RESORTS INC      shares
KNOLL INC         Common equity   498904200   20272   1010338 SH         DEFINED    1,2,5,6,8                  1010338
                  shares
LAS VEGAS         Common equity   517834107  253913   6015393 SH         DEFINED    1,2,5,6,8,10,12,18         6015393
 SANDS CORP       shares
ADVANCE AMER      Common equity   00739W107    8593   1247252 SH         DEFINED    1,2,5                      1247252
 CASH ADVANCE     shares
 CT
INTERLINE         Common equity   458743101   12303    669689 SH         DEFINED    1,2,5,6,8                   669689
 BRANDS INC       shares
MACQUARIE         Closed end      55608B105    1433     51927 SH         DEFINED    1,2,8                        51927
 INFRASTRUCT      mutual fund
 CO LLC
HERBALIFE LTD     Common equity   G4412G101   90611   1571945 SH         DEFINED    1,2,5,6,8                  1571945
                  shares
ABINGTON          Common equity   00350L109    4335    416011 SH         DEFINED    1,2,17                      416011
 BANCORP INC      shares
WARREN            Common Stock    93564A100    5792   1520011 SH         DEFINED    1,2,6                      1520011
 RESOURCES INC
PHH CORP          Common equity   693320202   27353   1333087 SH         DEFINED    1,2,5,6,8                  1333087
                  shares
CELANESE CORP     Common equity   150870103  166068   3115102 SH         DEFINED    1,2,5,6,8,10,12,18         3115102
                  shares







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SEABRIGHT         Common Stock    811656107    4435    447821 SH         DEFINED    1,2,8                       447821
 HOLDINGS INC
EDUCATION         Real Estate     28140H104   19325   2255025 SH         DEFINED    1,2,3,5,6,8                2255025
 REALTY TRUST     Investment
 INC              Trust
GFI GROUP INC     Common Stock    361652209    6313   1375466 SH         DEFINED    1,2,5,8                    1375466
OPTIONSXPRESS     Common equity   684010101   16925   1014821 SH         DEFINED    1,2,5,6,8                  1014821
 HOLDINGS INC     shares
DOLLAR            Common equity   256664103   17612    813486 SH         DEFINED    1,2,5,6,8                   813486
 FINANCIAL CORP   shares
NATIONAL          Common Stock    63654U100    2909    127074 SH         DEFINED    1,2,5                       127074
 INTERSTATE
 CORP
W&T OFFSHORE      Common equity   92922P106   31863   1220022 SH         DEFINED    1,2,5,6,8                  1220022
 INC              shares
DRYSHIPS INC      Common equity   Y2109Q101    1108    264913 SH         DEFINED    1,2,5,6                     264913
                  shares
AMERICAN          Common equity   029263100    5032    711929 SH         DEFINED    1,2,5,6,8                   711929
 REPROGRAPHICS    shares
 CO
CORE MARK         Common equity   218681104    7562    211703 SH         DEFINED    1,2,8                       211703
 HOLDING CO INC   shares
THRESHOLD         Common equity   885807206      23     13766 SH         DEFINED    1                            13766
 PHARMACEUTICALS  shares
WINDSTREAM CORP   Common Stock    97381W104  242310  18696389 SH         DEFINED    1,2,5,6,8,10,12,17,18     18696389
PRESTIGE          Common equity   74112D101   14960   1165016 SH         DEFINED    1,2,5,8                    1165016
 BRANDS           shares
 HOLDINGS
HUNTSMAN CORP     Common equity   447011107   46041   2442137 SH         DEFINED    1,2,5,6,8,10,12            2442137
                  shares
UNIVERSAL         Common equity   91388P105    2188    127656 SH         DEFINED    1,2                         127656
 TRUCKLOAD        shares
 SERVICES
ENTERPRISE        Common equity   293668109    1009     66900 SH         DEFINED    1,2                          66900
 BANCORP INC/MA   shares
ALPHA NATURAL     Common equity   02076X102  422684   9302062 SH         DEFINED    1,2,5,6,8,10,12,18         9302062
 RESOURCES INC    shares
REVETT            Common equity   76150520     1127    249900 SH         DEFINED    1,2                         249900
 MINERALS INC     shares
WRIGHT EXPRESS    Common equity   98233Q105   47327    908930 SH         DEFINED    1,2,5,6,8                   908930
 CORP             shares
DOLBY             Common equity   25659T107   34513    812898 SH         DEFINED    1,2,5,6,8,10,12,18          812898
 LABORATORIES     shares
 INC
KEARNY            Common equity   487169104    3006    330171 SH         DEFINED    1,2,5                       330171
 FINANCIAL CORP   shares
TRIANGLE          Common equity   89600B201    3402    526800 SH         DEFINED    1,2                         526800
 PETROLEUM CORP   shares
BOFI HOLDING      Common Stock    05566U108    1609    111926 SH         DEFINED    1,2                         111926
 INC
DIANA SHIPPING    Common equity   Y2066G104     652     59491 SH         DEFINED    1,2,5,6                      59491
 INC              shares
FREIGHTCAR        Common equity   357023100    6003    236753 SH         DEFINED    1,2,5,8                     236753
 AMERICA INC      shares
DEXCOM INC        Common equity   252131107   18918   1305792 SH         DEFINED    1,2,6,8                    1305792
                  shares
TELEPHONE &       Common equity   879433860    3017    111998 SH         DEFINED    1,2                         111998
 DATA SYS INC     shares
VERIFONE          Common equity   92342Y109   45083   1016514 SH         DEFINED    1,2,5,6,8                  1016514
 SYSTEMS INC      shares
MORNINGSTAR INC   Common equity   617700109   15228    250518 SH         DEFINED    1,2,5,6,8                   250518
                  shares
SUMMER INFANT     Common equity   865646103    1346    165552 SH         DEFINED    1,2                         165552
 INC              shares
LAZARD LTD        Common equity   G54050102   42792   1153389 SH         DEFINED    1,2,5,6                    1153389
                  shares
TEEKAY LNG        Limited         Y8564M105    2242     60601 SH         DEFINED    1                            60601
 PARTNERS LP      Partnership
ZUMIEZ INC        Common equity   989817101   16895    676847 SH         DEFINED    1,2,5,6,8                   676847
                  shares
WARNER MUSIC      Common equity   934550104    8140    990662 SH         DEFINED    1,2,5,6,8                   990662
 GROUP CORP       shares
XERIUM            Common equity   98416J118    2284    123133 SH         DEFINED    1,2                         123133
 TECHNOLOGIES     shares
 INC
CITI TRENDS INC   Common equity   17306X102    4443    294640 SH         DEFINED    1,2,6,8                     294640
                  shares
ROCKVILLE         Common equity   774188106    4157    419557 SH         DEFINED    1,2,5                       419557
 FINANCIAL INC    shares
TRANSMONTAIGNE    Limited         89376V100    1038     29733 SH         DEFINED    1                            29733
 PARTNERS LP      Partnership
CALAMOS           Closed end      128117108     165     12581 SH         DEFINED    18                           12581
 CONVERTIBLE      mutual fund
 OPPORTUNITIES
 & INCOME FUND
GABELLI           Closed end      36240B109     139     22384 SH         DEFINED    18                           22384
 CONVERTIBLE &    mutual fund
 INCOME
 SECURITIES
 FUND INC.
ISHARES MSCI      Investments     464286509   54456   1719500 SH         DEFINED    2                          1719500
 CANADA INDEX     that contain a
 FUND             pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES MSCI      Investments     464286665     294      6170 SH         DEFINED    1                             6170
 PACIFIC          that contain a
 EX-JAPAN         pool of
 INDEX FUND       securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES MSCI      Investments     464286699   11107    623632 SH         DEFINED    1                           623632
 UNITED           that contain a
 KINGDOM INDEX    pool of
 FUND             securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES MSCI      Investments     464286731   17973   1183950 SH         DEFINED    1,6                        1183950
 TAIWAN INDEX     that contain a
 FUND             pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES MSCI      Investments     464286772    2319     35680 SH         DEFINED    6                            35680
 KOREA INDEX      that contain a
 FUND             pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES MSCI      Investments     464286830     207     13542 SH         DEFINED    6                            13542
 MALAYSIA         that contain a
 (FREE) INDEX     pool of
 FUND             securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES           Investments     464287176  118295   1069194 SH         DEFINED    1,2                        1069194
 BARCLAYS TIPS    that contain a
 BOND FUND        pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES           Investments     464287226    1256     11771 SH         DEFINED    1                            11771
 BARCLAYS         that contain a
 AGGREGATE        pool of
 BOND FUND        securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES IBOXX     Investments     464287242  166985   1516242 SH         DEFINED    2                          1516242
 $ INVESTOP       that contain a
 INVESTMENT       pool of
 GRADE BOND       securities
 FUND             representing a
                  specific
                  index  and are
                  built like mutu
ISHARES MSCI      Investments     464287465  459787   7645286 SH         DEFINED    1,2,6                      7645286
 EAFE INDEX       that contain a
 FUND             pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES           Investments     464287655    1728     20875 SH         DEFINED    1                            20875
 RUSSELL 2000     that contain a
 INDEX FUND       pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES           Investments     464287689    1006     12697 SH         DEFINED    1                            12697
 RUSSELL 3000     that contain a
 INDEX FUND       pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
SPDR S&P          ETF             78467Y107  114951    647983 SH         DEFINED    1,2                         647983
 MIDCAP 400
 ETF TRUST
MORGAN STANLEY    Closed end      61744H105     549     51654 SH         DEFINED    1,18                         51654
 EMERGING         mutual fund
 MARKETS DEBT
 FUND INC.
WESTERN ASSET     Closed end      95766E103    1169     84600 SH         DEFINED    18                           84600
 EMERGING         mutual fund
 MARKETS
 INCOME FUND
 INC.
WESTERN ASSET     Closed end      95766A101    1154     60433 SH         DEFINED    18                           60433
 EMERGING         mutual fund
 MARKETS DEBT
 FUND INC.
ENERGY SELECT     ETF             81369Y506    3084     40929 SH         DEFINED    2                            40929
 SECTOR SPDR
 FUND
UTILITIES         ETF             81369Y886    1357     40554 SH         DEFINED    6                            40554
 SELECT SECTOR
 SPDR FUND
STREETTRACKS      Investments     78463X202   10010    246580 SH         DEFINED    10                          246580
 EURO STOXX 50    that contain a
 FUND             pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
SPDR DJ           ETF             78464A607   30499    457939 SH         DEFINED    1,2,8                       457939
 WILSHIRE REIT
 ETF
TEMPLETON         Closed end      880192109     181     10588 SH         DEFINED    18                           10588
 EMERGING         mutual fund
 MARKETS
 INCOME FUND
VANGUARD ETF      Investments     922908553   69229   1151895 SH         DEFINED    1,2                        1151895
 REIT             that contain a
                  pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ISHARES GOLD      Investments     464285105   23145   1580900 SH         DEFINED    2                          1580900
 TRUST            that contain a
                  pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
VANGUARD ETF      Investments     922042858  495211  10185320 SH         DEFINED    1,2,10,18                 10185320
 EMERGING         that contain a
 MARKETS          pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
VANGUARD ETF      Investments     922042866     383      6768 SH         DEFINED    1                             6768
 PACIFIC          that contain a
                  pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
VANGUARD ETF      Investments     922042874     401      7490 SH         DEFINED    1                             7490
 EUROPEAN         that contain a
                  pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
MINAS             American        204448104  142593   3754424 SH         DEFINED    1,2,5,6,8,10,12,18         3754424
 BUENAVENTURA     Depository
 SA               Receipt
BRASKEM SA        American        105532105    2965    101998 SH         DEFINED    1,2,4,6,8,10                101998
                  Depository
                  Receipt
GRUPO             American        399909100    7306    539715 SH         DEFINED    4,5                         539715
 FINANCIERO       Depository
 GALICIA SA       Receipt
INFOSYS LTD       American        456788108  134702   2065034 SH         DEFINED    1,2,4,5,6,8                2065034
                  Depository
                  Receipt
KEPCO-KOREA       American        500631106    3406    256674 SH         DEFINED    1,2,6,18                    256674
 ELEC POWER       Depository
 CORP             Receipt
POSCO             American        693483109   19575    180201 SH         DEFINED    1,2,4,6,18                  180201
                  Depository
                  Receipt
RYANAIR           American        783513104    9518    324384 SH         DEFINED    1,2,5,6                     315914          8470
 HOLDINGS PLC     Depository
                  Receipt
SAP AG            American        803054204    7251    119562 SH         DEFINED    1,2                         119562
                  Depository
                  Receipt
TAIWAN            American        874039100  119176  12513238 SH         DEFINED    1,2,4,5,6,8,18,19          6670324
 SEMICONDUCTOR    Depository
 MFG CO           Receipt
CREDICORP LTD     Common equity   G2519Y108  119806   1391463 SH         DEFINED    1,2,5,6,8,10,12,18         1391463
                  shares
INDOSAT TBK       American        744383100     486     16208 SH         DEFINED    1,2,6                        16208
                  Depository
                  Receipt
THOMSON-REUTERS   Common equity   884903105  131335   3496574 SH         DEFINED    1,2,5,6,17                 3496574
 CORP             shares
CHUNGHWA          American        17133Q502    7611    220313 SH         DEFINED    1,2,6,8,12                  220313
 TELECOM LTD      Depository
                  Receipt
SHINHAN           American        824596100    2488     25934 SH         DEFINED    1,2,6,18                     25934
 FINANCIAL        Depository
 GROUP LTD        Receipt
CTRIP.COM INTL    American        22943F100   60865   1412910 SH         DEFINED    1,2,4,5,6                  1412910
 LTD              Depository
                  Receipt
DIAMONDROCK       Real Estate     252784301   62005   5779030 SH         DEFINED    1,2,3,5,6,8                5779030
 HOSPITALITY CO   Investment
                  Trust
FRANKLIN          Real Estate     35471R106   30520   2363899 SH         DEFINED    1,2,3,5,6,8                2363899
 STREET           Investment
 PROPERTIES       Trust
XENOPORT INC      Common Stock    98411C100    4581    643290 SH         DEFINED    1,2,5,6,8                   643290
HERCULES          Common equity   427096508    9875    938287 SH         DEFINED    1,2,8                       938287
 TECHNOLOGY       shares
 GROWTH
 CAPITAL INC.
LHC GROUP INC     Common equity   50187A107    7530    326507 SH         DEFINED    1,2,5,6,8                   326507
                  shares
SILICON           Common equity   82706L108   10144    589773 SH         DEFINED    1,2,6,8                     589773
 GRAPHICS INTL    shares
 CORP
TREEHOUSE         Common equity   89469A104   45412    831590 SH         DEFINED    1,2,5,6,8                   831590
 FOODS INC        shares
BUILDERS          Common equity   12008R107    1915    891182 SH         DEFINED    1,2                         891182
 FIRSTSOURCE      shares
GLADSTONE         Common equity   376546107    2831    396348 SH         DEFINED    1,2                         396348
 INVESTMENT       shares
 CORP/DE
LINCOLN           Common Stock    533535100    7719    450060 SH         DEFINED    1,2,6,8                     450060
 EDUCATIONAL
 SERVICES
EAGLE BULK        Common equity   Y2187A101    3023   1218835 SH         DEFINED    1,2,5,8                    1218835
 SHIPPING INC     shares
BANKFINANCIAL     Common equity   06643P104    3294    388880 SH         DEFINED    1,2,17                      388880
 CORP             shares
KENEXA CORP       Common equity   488879107   11642    485508 SH         DEFINED    1,2,5,6,8                   485508
                  shares
DSW INC           Common equity   23334L102   18267    360970 SH         DEFINED    1,2,5,6,8                   360970
                  shares
CIFC CORP         Common Stock    125471102     791    115698 SH         DEFINED    1,2                         115698
NEUSTAR INC       Common equity   64126X201   47977   1830988 SH         DEFINED    1,2,5,6,8,12               1830988
                  shares
SILICON MOTION    American        82706C108    1589    148197 SH         DEFINED    2                           148197
 TECH -ADR        Depository
                  Receipt
VOLCOM INC        Common equity   92864N101     378     15416 SH         DEFINED    2                            15416
                  shares
WESTERN           Common equity   957638109    9080   1278164 SH         DEFINED    1,2,5,6,8                  1278164
 ALLIANCE         shares
 BANCORP
DISCOVERY         Common equity   25470F104  365844   8931573 SH         DEFINED    1,2,5,6,8,10,12,18         8931573
 COMMUNICATIONS   shares
 INC
GRAN TIERRA       Common equity   38500T101     521     78784 SH         DEFINED    1,5,6                        78784
 ENERGY INC       shares
MEDICAL           Real Estate     58463J304   29734   2585475 SH         DEFINED    1,2,3,5,6,8                2585475
 PROPERTIES       Investment
 TRUST            Trust
FOCUS MEDIA       American        34415V109    6827    219475 SH         DEFINED    1,2,6                       219475
 HOLDING LTD      Depository
 -ADR             Receipt
UNITED            Common equity   91030T109    5384    348652 SH         DEFINED    1,2,17                      348652
 FINANCIAL        shares
 BANCORP INC
EXPEDIA INC       Common equity   30212P105  224622   7748317 SH         DEFINED    1,2,5,6,8,10,12,18         7748317
                  shares
ROYAL DUTCH       American        780259206     278      3910 SH         DEFINED    1                             3910
 SHELL PLC        Depository
                  Receipt
DIAMOND FOODS     Common equity   252603105   35039    458963 SH         DEFINED    1,2,5,6,8                   458963
 INC              shares
CONSOLIDATED      Common Stock    209034107    9402    483747 SH         DEFINED    1,2,6,8,17                  483747
 COMM HLDGS INC
HITTITE           Common equity   43365Y104   44835    724147 SH         DEFINED    1,2,5,6,8                   724147
 MICROWAVE CORP   shares
MAIDENFORM        Common equity   560305104   14585    527454 SH         DEFINED    1,2,6,8                     527454
 BRANDS INC       shares
GENCO SHIPPING    Common equity   Y2685T107    4474    594663 SH         DEFINED    1,2,5,8                     594663
 & TRADING        shares
ITC HOLDINGS      Common equity   465685105   52273    728363 SH         DEFINED    1,2,5,6,8                   728363
 CORP             shares
PIKE ELECTRIC     Common equity   721283109    2656    300548 SH         DEFINED    1,2,5,6                     300548
 CORP             shares
ALON USA          Common equity   020520102    2031    180278 SH         DEFINED    1,2                         180278
 ENERGY INC       shares
JAMBA INC         Common equity   47023A101    1962    917768 SH         DEFINED    1,2                         917768
                  shares
OMEGA FLEX INC    Common equity   682095104     599     42838 SH         DEFINED    1,2                          42838
                  shares
MWI VETERINARY    Common equity   55402X105   21705    268752 SH         DEFINED    1,2,5,6,8                   268752
 SUPPLY           shares
ADVANCED          Common equity   00752J108    4862    803458 SH         DEFINED    1,2                         803458
 ANALOGIC TECH    shares
ATRICURE INC      Common equity   04963C209    2295    178100 SH         DEFINED    1,2                         178100
                  shares
BAIDU INC -ADR    American        056752108   91829    655307 SH         DEFINED    1,2,6                       655307
                  Depository
                  Receipt
DRESSER-RAND      Common equity   261608103  117785   2191332 SH         DEFINED    1,2,5,6,8,12               2191332
 GROUP INC        shares
HOKU CORP         Common equity   434711107      21     13000 SH         DEFINED    1                            13000
                  shares
RUTHS             Common equity   783332109    3026    539260 SH         DEFINED    1,2                         539260
 HOSPITALITY      shares
 GROUP INC
SEASPAN CORP      Common equity   Y75638109     255     17423 SH         DEFINED    1,5                          17423
                  shares
CHINA MEDICAL     American        169483104     367     47735 SH         DEFINED    1,2,6                        47735
 TECHNOLGS -ADR   Depository
                  Receipt
FIRST SECURITY    Common equity   336312103      10     16100 SH         DEFINED    1                            16100
 GROUP INC        shares
RBC BEARINGS      Common equity   75524B104   16877    446984 SH         DEFINED    1,2,5,6,8                   446984
 INC              shares
REDDY ICE         Common equity   75734R105      50     17877 SH         DEFINED    1                            17877
 HOLDINGS INC     shares
CF INDUSTRIES     Common equity   125269100  403319   2846893 SH         DEFINED    1,2,5,6,8,10,12,18         2846893
 HOLDINGS INC     shares
HEARTLAND         Common equity   42235N108   16638    807549 SH         DEFINED    1,2,5,6,8                   807549
 PAYMENT          shares
 SYSTEMS
HANDY & HARMAN    Common equity   410315105    1012     65683 SH         DEFINED    1,2                          65683
 LTD              shares
LORAL SPACE &     Common equity   543881106   15047    216547 SH         DEFINED    1,2,5,6,8                   216547
 COMMUNICATIONS   shares
ROCKWOOD          Common equity   774415103   46663    843942 SH         DEFINED    1,2,5,6,8,17,18             843942
 HOLDINGS INC     shares
WILLIAMS          Limited         96950F104    5163     95287 SH         DEFINED    1,8                          95287
 PARTNERS LP      Partnership
ACCO BRANDS       Common equity   00081T108    9785   1246447 SH         DEFINED    1,2,5,6,8                  1246447
 CORP             shares
LIBERTY GLOBAL    Common equity   530555309   37838    886042 SH         DEFINED    1,2,5,8,10,12,18            886042
 INC              shares
KAPSTONE PAPER    Common Stock    48562P103   14323    864519 SH         DEFINED    1,2,6,8                     864519
 & PACKAGING
AMERIPRISE        Common equity   03076C106  561124   9728284 SH         DEFINED    1,2,5,6,8,10,12,18         9728284
 FINANCIAL INC    shares
HSBC HLDGS PLC    Public          404280604     810     33185 SH         DEFINED    2                            33185
                  preferred
                  instrument
IKANOS            Common equity   45173E105      27     21937 SH         DEFINED    1                            21937
 COMMUNICATIONS   shares
 INC
GLOBAL CASH       Common equity   378967103    3721   1170155 SH         DEFINED    1,2,8                      1170155
 ACCESS           shares
 HOLDINGS
HORIZON LINES     Common equity   44044K101      32     25800 SH         DEFINED    1                            25800
 INC              shares
SUNESIS           Common Stock    867328601     589    281499 SH         DEFINED    1                           281499
 PHARMACEUTICALS
 INC
ITURAN            Common Stock    M6158M104     179     12738 SH         DEFINED    1                            12738
 LOCATION &
 CONTROL
CARIBOU COFFEE    Common Stock    142042209    1704    128589 SH         DEFINED    1,2                         128589
 CO
GENOMIC HEALTH    Common Stock    37244C101    7650    274074 SH         DEFINED    1,2,5,6,8                   274074
 INC
TALEO CORP        Common Stock    87424N104   31633    854300 SH         DEFINED    1,2,5,6,8                   854300
WEBMD HEALTH      Common equity   94770V102   38102    835924 SH         DEFINED    1,2,5,6,8,12                835924
 CORP             shares
SPORT CHALET      Common equity   849163209      25     12500 SH         DEFINED    1                            12500
 INC              shares
VISTAPRINT NV     Common equity   N93540107   28351    592646 SH         DEFINED    1,2,5,6,8                   592646
                  shares
FIDELITY          Common equity   31620R105  113050   7182191 SH         DEFINED    1,2,5,6,8,10,12,18         7182191
 NATIONAL         shares
 FINANCIAL
WATERSTONE        Common equity   941888109      40     18156 SH         DEFINED    1,2                          18156
 FINANCIAL INC    shares
PHARMATHENE INC   Common equity   71714G102    1201    409000 SH         DEFINED    1,2                         409000
                  shares
INVESTORS         Common equity   46146P102   14220   1001564 SH         DEFINED    1,2,5,6,8                  1001564
 BANCORP INC      shares
TAL               Common equity   874083108   13511    391275 SH         DEFINED    1,2,5,6,8                   391275
 INTERNATIONAL    shares
 GROUP INC
DHT HOLDINGS      Common equity   Y2065G105    6174   1611939 SH         DEFINED    1,2                        1611939
 INC              shares
NCI INC           Common equity   62886K104    2996    131824 SH         DEFINED    1,2,6                       131824
                  shares
COGDELL           Real Estate     19238U107    5181    865095 SH         DEFINED    1,2,3,8                     865095
 SPENCER INC      Investment
                  Trust
HERCULES          Common equity   427093109   24016   4358001 SH         DEFINED    1,2,5,6,8                  4358001
 OFFSHORE INC     shares
NXSTAGE           Common Stock    67072V103   17726    851206 SH         DEFINED    1,2,6,8                     851206
 MEDICAL INC
MELA SCIENCES     Common equity   55277R100      37     15686 SH         DEFINED    1                            15686
 INC              shares
CBEYOND INC       Common equity   149847105    7618    575586 SH         DEFINED    1,2,5,6,8                   575586
                  shares
WEB.COM GROUP     Common Stock    94733A104    5119    415553 SH         DEFINED    1,2                         415553
 INC
BOARDWALK         Limited         096627104    4258    146617 SH         DEFINED    1,8                         146617
 PIPELINE         Partnership
 PRTNRS-LP
ZALICUS INC       Common equity   98887C105    4003   1681935 SH         DEFINED    1,2                        1681935
                  shares
IROBOT CORP       Common Stock    462726100   31557    894190 SH         DEFINED    1,2,6,8                     894190
CLEAR CHANNEL     Common equity   18451C109    6502    512031 SH         DEFINED    1,2,5,6,8                   512031
 OUTDOOR HLDGS    shares
IHS INC           Common equity   451734107   63863    765627 SH         DEFINED    1,2,5,6,8,10,12,18          765627
                  shares
SPDR S&P          Investments     78464A763  273180   5053260 SH         DEFINED    1,2                        5053260
 DIVIDEND ETF     that contain a
                  pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
SPDR DJ           Investments     78464A813    1121     15899 SH         DEFINED    2                            15899
 WILSHIRE         that contain a
 SMALL CAP ETF    pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
INTERCONTINENTALE CommonEequity   45865V100  341407   2737729 SH         DEFINED    1,2,5,6,8,10,12,18         2737729
 INC              shares
SUNPOWER CORP     Common equity   867652109   11461    592826 SH         DEFINED    1,2,5,6,8,10                592826
                  shares
AMERISAFE INC     Common equity   03071H100    8334    368345 SH         DEFINED    1,2,8                       368345
                  shares
UNDER ARMOUR      Common equity   904311107   72245    934466 SH         DEFINED    1,2,5,6,8,12                934466
 INC              shares
BROOKDALE         Common equity   112463104   24198    998056 SH         DEFINED    1,2,5,6,8                   998056
 SENIOR LIVING    shares
 INC
UNION DRILLING    Common equity   90653P105    2815    273448 SH         DEFINED    1,2                         273448
 INC              shares
UR ENERGY INC     Common equity   91688R108    1983   1239800 SH         DEFINED    1,2                        1239800
                  shares
DCP MIDSTREAM     Limited         23311P100    1678     40952 SH         DEFINED    1                            40952
 PARTNERS LP      Partnership
VOCUS INC         Common Stock    92858J108   10235    334366 SH         DEFINED    1,2,5,6,8                   334366
VIACOM INC        Common equity   92553P201 1246834  24778938 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  24143133          3920
                  shares
BASIC ENERGY      Common equity   06985P100   28927    919244 SH         DEFINED    1,2,5,6,8                   919244
 SERVICES INC     shares
CYNOSURE INC      Common equity   232577205    2420    200040 SH         DEFINED    1,2                         200040
                  shares
DEALERTRACK       Common equity   242309102   20488    892551 SH         DEFINED    1,2,5,6,8                   892551
 HOLDINGS INC     shares
LIVE NATION       Common equity   538034109   37901   3304387 SH         DEFINED    1,2,5,6,8                  3304387
 ENTERTAINMENT    shares
DELIAS INC        Common equity   246911101      45     28364 SH         DEFINED    1                            28364
                  shares
SUNTECH POWER     American        86800C104    3937    500221 SH         DEFINED    1,2,6                       500221
 HOLDINGS  -ADR   Depository
                  Receipt
SOMAXON           Common Stock    834453102      46     21400 SH         DEFINED    1                            21400
 PHARMACEUTICALS
 INC
COPA HOLDINGS     Common equity   P31076105   64798    970793 SH         DEFINED    1,2,4,5,6,17                970793
 SA               shares
URANIUM ENERGY    Common equity   916896103    3413   1115602 SH         DEFINED    1,2,6                      1115602
 CORP             shares
LINN ENERGY LLC   Composition of  536020100     810     20708 SH         DEFINED    1,5                          20708
                  more than 1
                  security
WESTERN           Common equity   959319104   29415   1628020 SH         DEFINED    1,2,5,6,8,17               1628020
 REFINING INC     shares
AMERICAN          Common equity   02916P103    4653    198496 SH         DEFINED    1,2,5,6                     198496
 RAILCAR INDS     shares
 INC
SMART BALANCE     Common Stock    83169Y108    8149   1572894 SH         DEFINED    1,2,6,8                    1572894
 INC
CHIPOTLE          Common equity   169656105  341681   1108689 SH         DEFINED    1,2,5,6,8,10,12,18         1108689
 MEXICAN GRILL    shares
 INC
UNITED            Common Stock    910047109   93798   4145075 SH         DEFINED    1,2,5,6,8,10,12,18         4145075
 CONTINENTAL
 HLDGS INC







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
H&E EQUIPMENT     Common equity   404030108    7861    561717 SH         DEFINED    1,2,5,6                     561717
 SERVICES INC     shares
REGENCY ENERGY    Limited         75885Y107    2444     94506 SH         DEFINED    1                            94506
 PARTNERS LP      Partnership
KOPPERS           Common equity   50060P106   16608    437872 SH         DEFINED    1,2,5,6,8                   437872
 HOLDINGS INC     shares
TERNIUM SA -ADR   American        880890108   33911   1148321 SH         DEFINED    1,2,4,5                    1148321
                  Depository
                  Receipt
CARDICA INC       Common equity   14141R101      30     10800 SH         DEFINED    1                            10800
                  shares
ENERGY            Limited         29273V100   11956    265925 SH         DEFINED    1,8                         265925
 TRANSFER         Partnership
 EQUITY LP
HEALTHSPRING      Common equity   42224N101   66791   1448575 SH         DEFINED    1,2,5,6,8                  1448575
 INC              shares
SMART MODULAR     Common equity   G82245104   10856   1185306 SH         DEFINED    1,2,5,6,8                  1185306
 TECHNOLOGIES     shares
POWERSHARES DB    ETF             73935S105   31981   1104315 SH         DEFINED    2                          1104315
 COMMODITY
 INDEX FUND
RESOURCE          Common equity   76120W302    6966   1102162 SH         DEFINED    1,2,8                      1102162
 CAPITAL CORP     shares
CROCS INC         Common equity   227046109   47105   1829350 SH         DEFINED    1,2,5,6,8                  1829350
                  shares
EXCO RESOURCES    Common equity   269279402   40060   2269936 SH         DEFINED    1,2,5,6,8                  2269936
 INC              shares
NTELOS            Common equity   67020Q107   13118    642333 SH         DEFINED    1,2,5,6,8                   642333
 HOLDINGS CORP    shares
ACORDA            Common Stock    00484M106   47581   1472742 SH         DEFINED    1,2,5,6,8                  1472742
 THERAPEUTICS
 INC
ROSETTA           Common equity   777779307   63141   1225077 SH         DEFINED    1,2,5,6,8                  1225077
 RESOURCES INC    shares
MORGANS HOTEL     Common equity   61748W108    3024    420867 SH         DEFINED    1,2                         420867
 GROUP CO         shares
NORTHERN OIL &    Common equity   665531109   51301   2316074 SH         DEFINED    1,2,6,8,12                 2316074
 GAS INC          shares
LIQUIDITY         Common equity   53635B107    8782    372103 SH         DEFINED    1,2,6                       372103
 SERVICES INC     shares
GRUPO             American        400506101    2087     50957 SH         DEFINED    1,5,6                        50957
 AEROPORTUARIO    Depository
 DEL PACI         Receipt
AMERICAN          Common equity   023850100      17     19800 SH         DEFINED    1                            19800
 APPAREL INC      shares
ALEXZA            Common equity   015384100      60     32700 SH         DEFINED    1                            32700
 PHARMACTCLS      shares
 INC
NYSE EURONEXT     Common equity   629491101  343023  10009301 SH         DEFINED    1,2,5,6,8,10,12,18        10009301
                  shares
TAM SA            American        87484D103    1489     68247 SH         DEFINED    1,2,4,6,10                   68247
                  Depository
                  Receipt
GREEN PLAINS      Common Stock    393222104    3798    351556 SH         DEFINED    1,2                         351556
 RENEWABLE
 ENRGY
TRANSDIGM         Common equity   893641100   50512    553924 SH         DEFINED    1,2,5,6,8                   553924
 GROUP INC        shares
GLOBAL TRAFFIC    Common equity   37947B103    2091    181900 SH         DEFINED    1,2                         181900
 NETWORK INC      shares
TIM HORTONS INC   Common equity   88706M103    6217    127371 SH         DEFINED    1,5,8                       127371
                  shares
HIMAX             American        43289P106     969    440160 SH         DEFINED    1,2                         440160
 TECHNOLOGIES     Depository
 INC              Receipt
PORTLAND          Common equity   736508847   44284   1751734 SH         DEFINED    1,2,5,6,8,17               1751734
 GENERAL          shares
 ELECTRIC CO
SEALY CORP        Common equity   812139301    2139    844743 SH         DEFINED    1,2,5,6                     844743
                  shares
TARGACEPT INC     Common Stock    87611R306   16805    797516 SH         DEFINED    1,2,5,6,8                   797516
VANDA             Common equity   921659108    5263    737199 SH         DEFINED    1,2                         737199
 PHARMACEUTICALS  shares
 INC
COMPLETE          Common equity   20453E109   66512   1993797 SH         DEFINED    1,2,5,6,8                  1993797
 PRODUCTION       shares
 SERVICES
BARCLAYS BK PLC   Public          06739F390     717     29817 SH         DEFINED    2                            29817
                  preferred
                  instrument
DELEK US          Common equity   246647101    3918    249653 SH         DEFINED    1,2,5                       249653
 HOLDINGS INC     shares
LIBERTY MEDIA     Common equity   53071M104  230936  13771046 SH         DEFINED    1,2,5,6,8,10,12,18        13771046
 INTERACTIVE      shares
LIBERTY MEDIA     Common equity   53071M302   73210    853801 SH         DEFINED    1,2,5,6,8                   853801
 CAPITAL GROUP    shares
TRANSCEPT         Common equity   89354M106     847     77601 SH         DEFINED    1,2                          77601
 PHARMACEUTICALS  shares
COMPASS           Misc Equity     20451Q104   11740    712068 SH         DEFINED    1,2,6                       712068
 DIVERSIFIED
 HOLDINGS
BIOMIMETIC        Common Stock    09064X101    1620    315825 SH         DEFINED    1,2,5,6                     315825
 THERAPEUTICS
 INC
PENSON            Common equity   709600100      80     22368 SH         DEFINED    1                            22368
 WORLDWIDE INC    shares
VONAGE            Common equity   92886T201   12826   2908911 SH         DEFINED    1,2,6,8                    2908911
 HOLDINGS CORP    shares
MASTERCARD INC    Common equity   57636Q104 1072129   3557883 SH         DEFINED    1,2,5,6,8,10,12,18         3557883
                  shares
MUELLER WATER     Common equity   624758108   13828   3474101 SH         DEFINED    1,2,5,6,8                  3474101
 PRODUCTS INC     shares
CTC MEDIA INC     Common equity   12642X106     451     21132 SH         DEFINED    1,2,5                        21132
                  shares
ALPHATEC          Common Stock    02081G102    2864    823003 SH         DEFINED    1,2,8                       823003
 HOLDINGS INC
TOWN SPORTS       Common equity   89214A102    2399    315301 SH         DEFINED    1,2                         315301
 INTL HOLDINGS    shares
LOOPNET INC       Common equity   543524300    7084    385449 SH         DEFINED    1,2,6,8                     385449
                  shares
VERIGY LTD        Common equity   Y93691106    2512    167776 SH         DEFINED    1,2,5,6,8                   167776
                  shares
HOUSTON WIRE &    Common equity   44244K109    4878    313667 SH         DEFINED    1,2,6                       313667
 CABLE CO         shares
KAISER            Common equity   483007704   38461    704237 SH         DEFINED    1,2,5,6,8                   704237
 ALUMINUM CORP    shares
SYNCHRONOSS       Common Stock    87157B103   16219    511171 SH         DEFINED    1,2,5,6,8                   511171
 TECHNOLOGIES
VOLCANO CORP      Common Stock    928645100   33579   1039852 SH         DEFINED    1,2,5,6,8                  1039852
HOME              Common equity   436893200   10630    449584 SH         DEFINED    1,2,5,6,8                   449584
 BANCSHARES INC   shares
SPDR S&P          Investments     78464A755    4623     66601 SH         DEFINED    2                            66601
 METALS &         that contain a
 MINING ETF       pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
PGT INC           Common equity   69336V101      38     20860 SH         DEFINED    1                            20860
                  shares
CARDIOVASCULAR    Common equity   141619106    2506    172200 SH         DEFINED    1,2                         172200
 SYSTEMS INC      shares
ROMA FINANCIAL    Common equity   77581P109    1509    143984 SH         DEFINED    1,2,17                      143984
 CORP             shares
ALLIED WORLD      Common equity   H01531104   27161    471689 SH         DEFINED    1,2,5,6,8,12,17             471689
 ASSURANCE CO     shares
 AG
WYNDHAM           Common equity   98310W108  192941   5733833 SH         DEFINED    1,2,5,6,8,10,12,17,18      5733833
 WORLDWIDE CORP   shares
ATLAS ENERGY LP   Limited         04930A104     337     15514 SH         DEFINED    1,5,6                        15514
                  Partnership
CLEVELAND         Common Stock    185860103     907    265900 SH         DEFINED    1,2                         265900
 BIOLABS INC
ISHARES GSCI      Investments     46428R107     835     24472 SH         DEFINED    1                            24472
 COMMODITY        that contain a
 INDEXED TRUST    pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
CHART             Common equity   16115Q308   30586    566606 SH         DEFINED    1,2,5,6,8                   566606
 INDUSTRIES INC   shares
GEOMET INC        Common equity   37250U201      20     16600 SH         DEFINED    1                            16600
                  shares
OSIRIS            Common equity   68827R108    2356    304333 SH         DEFINED    1,2,6                       304333
 THERAPEUTICS     shares
 INC
AIRCASTLE LTD     Common equity   G0129K104   13729   1079088 SH         DEFINED    1,2,5,6,8                  1079088
                  shares
ASCENT SOLAR      Common equity   043635101      12     12900 SH         DEFINED    1                            12900
 TECHNOLOGIES     shares
EVERCORE          Common equity   29977A105   12369    371198 SH         DEFINED    1,2,6,8                     371198
 PARTNERS INC     shares
VIASYSTEMS        Common equity   92553H803    1470     65454 SH         DEFINED    1,2                          65454
 GROUP INC        shares
HANESBRANDS INC   Common equity   410345102   96325   4382683 SH         DEFINED    1,2,5,6,8,12,19            2457783
                  shares
INNERWORKINGS     Common equity   45773Y105    4036    483762 SH         DEFINED    1,2,5,6                     483762
 INC              shares
BARCLAYS IPATH    Investments     06738C778     480     10156 SH         DEFINED    1                            10156
 DJ UBS           that contain a
 COMMODITY TR     pool of
 ETN              securities
                  representing a
                  specific
                  index  and are
                  built like mutu
NEW ORIENTAL      American        647581107   21523    192643 SH         DEFINED    1,2,6,18                    192643
 ED & TECH -ADR   Depository
                  Receipt
GOLD RESOURCE     Common equity   38068T105   12482    500805 SH         DEFINED    1,2,6,8                     500805
 CORP             shares
WESTERN UNION     Common equity   959802109  461685  23050228 SH         DEFINED    1,2,5,6,8,10,12,17,18     23050228
 CO               shares
RIVERBED          Common equity   768573107  146269   3694409 SH         DEFINED    1,2,5,6,8,12               3694409
 TECHNOLOGY INC   shares
TOWERSTREAM       Common equity   892000100    2156    432282 SH         DEFINED    1,2                         432282
 CORP             shares
WARNER            Common equity   G94368100   80373   3330978 SH         DEFINED    1,2,5,6,8,10,12,18         3330978
 CHILCOTT PLC     shares
COMMVAULT         Common equity   204166102   40995    922334 SH         DEFINED    1,2,5,6,8                   922334
 SYSTEMS INC      shares
MINDRAY           American        602675100    3118    111164 SH         DEFINED    1,2,6                       111164
 MEDICAL INTL     Depository
 -ADR             Receipt
EV ENERGY         Limited         26926V107    3227     60490 SH         DEFINED    1                            60490
 PARTNERS LP      Partnership
ICF               Common equity   44925C103    7589    299040 SH         DEFINED    1,2,6,8                     299040
 INTERNATIONAL    shares
 INC
SHUTTERFLY INC    Common equity   82568P304   39343    685129 SH         DEFINED    1,2,5,6,8                   685129
                  shares
FOX CHASE         Common equity   35137T108    3072    226753 SH         DEFINED    1,2                         226753
 BANCORP INC      shares
VIEWPOINT         Common equity   92672A101    8258    598323 SH         DEFINED    1,2,8                       598323
 FINANCIAL        shares
 GROUP
BREITBURN         Limited         106776107    1487     76434 SH         DEFINED    1                            76434
 ENERGY           Partnership
 PARTNERS LP
OWENS CORNING     Common equity   690742101   82981   2221513 SH         DEFINED    1,2,5,6,8,12               2221513
                  shares
ARMSTRONG         Common equity   04247X102   31618    693954 SH         DEFINED    1,2,5,6,8                   693954
 WORLD            shares
 INDUSTRIES
ACME PACKET INC   Common Stock    004764106   41423    590688 SH         DEFINED    1,2,5,6,8                   590688
EHEALTH INC       Common Stock    28238P109    6427    481207 SH         DEFINED    1,2,5,6,8                   481207
SAIC INC          Common equity   78390X101  181528  10791991 SH         DEFINED    1,2,5,6,8,10,12,18        10791991
                  shares
ULTRAPETROL       Common equity   P94398107    1877    380394 SH         DEFINED    1,2                         380394
 BAHAMAS LTD      shares
SUSSER            Common equity   869233106    2351    149462 SH         DEFINED    1,2                         149462
 HOLDINGS CORP    shares
EXLSERVICE        Common equity   302081104    6955    301090 SH         DEFINED    1,2,5,6                     301090
 HOLDINGS INC     shares
DOUGLAS EMMETT    Real Estate     25960P109   61674   3100694 SH         DEFINED    1,2,3,5,6,8                3100694
 INC              Investment
                  Trust
CADENCE           Common equity   12738T100    5303    576303 SH         DEFINED    1,2,6,8                     576303
 PHARMACEUTICALS  shares
 INC
PRIMORIS          Common equity   74164F103    4704    364472 SH         DEFINED    1,2,8                       364472
 SERVICES CORP    shares
ACHILLION         Common equity   00448Q201    3957    531933 SH         DEFINED    1,2,6                       531933
 PHARMACEUTICALS  shares
ASSISTED          Common equity   04544X300    7500    446895 SH         DEFINED    1,2,5,6,8                   446895
 LIVING           shares
 CONCEPTS INC
HOME INNS &       American        43713W107    4682    123088 SH         DEFINED    1,2,6                       123088
 HOTELS MNGT      Depository
 -ADR             Receipt
GLOBALSTAR INC    Common equity   378973408    1260   1023074 SH         DEFINED    1,2                        1023074
                  shares
INNOPHOS          Common Stock    45774N108   21324    436986 SH         DEFINED    1,2,5,6,8,17                436986
 HOLDINGS INC
ORBCOMM INC       Common equity   68555P100    1233    394625 SH         DEFINED    1,2                         394625
                  shares
MIZUHO            American        60687Y109      68     20960 SH         DEFINED    1                            20960
 FINANCIAL        Depository
 GROUP INC        Receipt
KBW INC           Common equity   482423100   13424    717788 SH         DEFINED    1,2,5,6,8                   717788
                  shares
ONEBEACON         Common equity   G67742109    6707    501050 SH         DEFINED    1,2,6,8                     501050
 INSURANCE        shares
 GROUP
CAPELLA           Common equity   139594105   14258    340661 SH         DEFINED    1,2,5,6,8                   340661
 EDUCATION CO     shares
METABOLIX INC     Common equity   591018809    3841    537996 SH         DEFINED    1,2,6,8                     537996
                  shares
SOLTA MEDICAL     Common Stock    83438K103    2488    901800 SH         DEFINED    1,2                         901800
 INC
AMTRUST           Common equity   032359309   11919    523238 SH         DEFINED    1,2,5,8                     523238
 FINANCIAL        shares
 SERVICES
SALLY BEAUTY      Common equity   79546E104   26819   1568318 SH         DEFINED    1,2,5,6,8                  1568318
 HOLDINGS INC     shares
WINN-DIXIE        Common equity   974280307   15895   1881405 SH         DEFINED    1,2,5,6,8                  1881405
 STORES INC       shares
EMERGENT          Common equity   29089Q105   16878    748316 SH         DEFINED    1,2,6,8                     748316
 BIOSOLUTIONS     shares
 INC
HANSEN MEDICAL    Common equity   411307101    2410    707216 SH         DEFINED    1,2                         707216
 INC              shares
HERTZ GLOBAL      Common equity   42805T105   64057   4033996 SH         DEFINED    1,2,5,6,8,10,12,17,18      4033996
 HOLDINGS INC     shares
KBR INC           Common equity   48242W106  180110   4778889 SH         DEFINED    1,2,5,6,8,10,12,17,18      4778889
                  shares
FIRST SOLAR INC   Common equity   336433107  261093   1974000 SH         DEFINED    1,2,5,6,8,10,12,18         1974000
                  shares
VENOCO INC        Common equity   92275P307    5501    432035 SH         DEFINED    1,2,5,6,8                   432035
                  shares
SPIRIT            Common equity   848574109   27985   1272211 SH         DEFINED    1,2,5,6,8                  1272211
 AEROSYSTEMS      shares
 HOLDINGS
AERCAP            Common equity   N00985106     810     62255 SH         DEFINED    1,2,5                        62255
 HOLDINGS NV      shares
NETLIST INC       Common equity   64118P109      29     14000 SH         DEFINED    1                            14000
                  shares
ALLEGIANT         Common equity   01748X102   15503    313124 SH         DEFINED    1,2,5,6,8,17                313124
 TRAVEL CO        shares
HEELYS INC        Common Stock    42279M107      25     11200 SH         DEFINED    1                            11200
KOHLBERG          Common equity   500233101    1858    233689 SH         DEFINED    1,2                         233689
 CAPITAL CORP.    shares
DCT INDUSTRIAL    Real Estate     233153105   42079   8045033 SH         DEFINED    1,2,3,5,6,8                8045033
 TRUST INC        Investment
                  Trust
GUIDANCE          Common equity   401692108    1740    213559 SH         DEFINED    1,2                         213559
 SOFTWARE INC     shares
IPG PHOTONICS     Common equity   44980X109   20518    282178 SH         DEFINED    1,2,5,6,8                   282178
 CORP             shares
CAL DIVE          Common equity   12802T101   18435   3082892 SH         DEFINED    1,2,5,6,8                  3082892
 INTERNATIONAL    shares
 INC
NEWSTAR           Common Stock    65251F105    5520    517023 SH         DEFINED    1,2,6,8                     517023
 FINANCIAL INC
OBAGI MEDICAL     Common equity   67423R108    3202    339540 SH         DEFINED    1,2,6                       339540
 PRODUCTS INC     shares
SPECTRA ENERGY    Common equity   847560109  747566  27273351 SH         DEFINED    1,2,5,6,8,10,12,17,18     27273351
 CORP             shares
TEEKAY            Limited         Y8565J101    1565     53316 SH         DEFINED    1                            53316
 OFFSHORE         Partnership
 PARTNERS LP
AFFYMAX INC       Common Stock    00826A109    3215    468156 SH         DEFINED    1,2,8                       468156
ALTRA HOLDINGS    Common equity   02208R106   14104    587711 SH         DEFINED    1,2,6,8                     587711
 INC              shares
CARROLS           Common equity   14574X104    2251    216130 SH         DEFINED    1,2                         216130
 RESTAURANT       shares
 GROUP INC
MELCO CROWN       Depository      585464100     498     39047 SH         DEFINED    1,2,5,6                      39047
 ENTMT LTD -ADR   Receipt
NEURALSTEM INC    Common equity   64127R302      45     29400 SH         DEFINED    1                            29400
                  shares
GREAT LAKES       Common Stock    390607109    9036   1618795 SH         DEFINED    1,2,6,8                    1618795
 DREDGE & DOCK
 CP
PROLOR BIOTECH    Common equity   74344F106     159     32314 SH         DEFINED    1,6                          32314
 INC              shares
PARK STERLING     Common equity   70086Y105    1786    360400 SH         DEFINED    1,2                         360400
 CORP             shares
ZION OIL & GAS    Common equity   989696109    1907    320733 SH         DEFINED    1,2                         320733
 INC              shares
TIME WARNER       Common Stock    88732J207  952676  12207536 SH         DEFINED    1,2,5,6,8,10,12,17,18     12207536
 CABLE INC
LEGACY            Limited         524707304    2060     69367 SH         DEFINED    1                            69367
 RESERVES LP      Partnership
AEROVIRONMENT     Common equity   008073108   11514    325690 SH         DEFINED    1,2,5,6,8                   325690
 INC              shares
ORITANI           Common equity   68633D103   13472   1053343 SH         DEFINED    1,2,5,6,8                  1053343
 FINANCIAL CORP   shares
OCULUS            Common equity   67575P108      20     10600 SH         DEFINED    1                            10600
 INNOVATIVE       shares
 SCIENCES
TRAVELCENTERS     Common equity   894174101      59     10729 SH         DEFINED    1,5                          10729
 OF AMERICA LLC   shares
DUNCAN ENERGY     Limited         265026104    2047     47319 SH         DEFINED    1                            47319
 PARTNERS LP      Partnership
EMPLOYERS         Common equity   292218104   14076    839401 SH         DEFINED    1,2,5,6,8                   839401
 HOLDINGS INC     shares
HFF INC           Common equity   40418F108    6957    460941 SH         DEFINED    1,2,6,8                     460941
                  shares
CENTRAL GARDEN    Common equity   153527205   12288   1211395 SH         DEFINED    1,2,5,6,8                  1211395
 & PET CO         shares
SYNTA             Private         87162T206    1864    369896 SH         DEFINED    1,2                         369896
 PHARMACEUTICALS  company?no
 CORP             public equity
                  shares
CELLCOM ISRAEL    Common equity   M2196U109   15401    555583 SH         DEFINED    1,2,8                       555583
 LTD              shares
ACCURAY INC       Common Stock    004397105    9228   1151909 SH         DEFINED    1,2,5,6,8                  1151909
NATIONAL          Common Stock    635309107   20101   1188747 SH         DEFINED    1,2,5,6,8                  1188747
 CINEMEDIA INC
FORTRESS          Common equity   34958B106      96     19900 SH         DEFINED    1                            19900
 INVESTMENT       shares
 GRP LLC
OPTIMER           Common equity   68401H104   14036   1180462 SH         DEFINED    1,2,6,8                    1180462
 PHARMACEUTICALS  shares
 INC
TARGA             Misc Equity     87611X105    4264    119766 SH         DEFINED    1                           119766
 RESOURCES
 PARTNERS LP
US AUTO PARTS     Common equity   90343C100    1598    208508 SH         DEFINED    1,2                         208508
 NETWORK INC      shares
INFORMATION       Common equity   45675Y104      33     18200 SH         DEFINED    1                            18200
 SERVICES GROUP   shares
OPNEXT INC        Common equity   68375V105    1662    729167 SH         DEFINED    1,2                         729167
                  shares
TRIANGLE          Common equity   895848109    5665    306962 SH         DEFINED    1,2,8                       306962
 CAPITAL CORP     shares
COLEMAN CABLE     Common equity   193459302    1745    118730 SH         DEFINED    1,2                         118730
 INC              shares
DOMTAR CORP       Common equity   257559203   97287   1027123 SH         DEFINED    1,2,5,6,8,10,12,17,18      1027123
                  shares
CLEARWIRE CORP    Common equity   18538Q105    6081   1608325 SH         DEFINED    1,2,5,6                    1608325
                  shares
SOURCEFIRE INC    Common Stock    83616T108   16511    555618 SH         DEFINED    1,2,5,6,8                   555618
BIGBAND           Common Stock    089750509    1757    811174 SH         DEFINED    1,2,6                       811174
 NETWORKS INC
CONVERTED         Common Stock    21254S107       2     27700 SH         DEFINED    1                            27700
 ORGANICS INC
GAFISA SA         American        362607301     437     46060 SH         DEFINED    1,6,10                       46060
                  Depository
                  Receipt
BROADRIDGE        Common equity   11133T103   78180   3247988 SH         DEFINED    1,2,5,6,8,12               3247988
 FINANCIAL        shares
 SOLUTNS
GLU MOBILE INC    Common equity   379890106    2804    532123 SH         DEFINED    1,2,6                       532123
                  shares
ARUBA NETWORKS    Common Stock    043176106   50041   1693382 SH         DEFINED    1,2,5,6,8                  1693382
 INC
ESSEX RENTAL      Common equity   297187106    1198    181800 SH         DEFINED    1,2                         181800
 CORP             shares
GSI TECHNOLOGY    Common Stock    36241U106    2437    338791 SH         DEFINED    1,2                         338791
 INC
SUPER MICRO       Common Stock    86800U104    7678    477311 SH         DEFINED    1,2,6,8                     477311
 COMPUTER INC
FLAGSTONE         Common equity   L3466T104    8494   1007840 SH         DEFINED    1,2,5,6,8                  1007840
 REINSURANCE      shares
 HLD SA
ESSA BANCORP      Common equity   29667D104    3666    295457 SH         DEFINED    1,2,17                      295457
 INC              shares
DIALOGIC INC      Common equity   25250T100     776    172733 SH         DEFINED    1,2                         172733
                  shares
COMVERGE INC      Common equity   205859101      56     18863 SH         DEFINED    1                            18863
                  shares
METROPCS          Common equity   591708102  176018  10227832 SH         DEFINED    1,2,5,6,8,10,12,18        10227832
 COMMUNICATIONS   shares
 INC
PENNANTPARK       Common equity   708062104   10645    949587 SH         DEFINED    1,2,6,8                     949587
 INVESTMENT       shares
 CORP.
TFS FINANCIAL     Common equity   87240R107    9065    936622 SH         DEFINED    1,2,5,6,8,10                936622
 CORP             shares
CINEMARK          Common equity   17243V102   36889   1781441 SH         DEFINED    1,2,5,6,8                  1781441
 HOLDINGS INC     shares
BARCLAYS IPATH    Investments     06739F291   11015    157150 SH         DEFINED    1,4                         157150
 MSCI INDIA       that contain a
 INDEX ETN        pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
BAXTER            Common equity   071813109 1439435  24115158 SH         DEFINED    1,2,5,6,8,10,12,17,18     24112028          3130
 INTERNATIONAL    shares
 INC
SPDR DJ           ETF             78463X863   48087   1190854 SH         DEFINED    2                          1190854
 INTERNATIONAL
 REAL ESTATE
 ETF
POWERSHARES DB    Investments     73936B606    2953     56200 SH         DEFINED    2                            56200
 GOLD FUND        that contain a
                  pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
SPDR MSCI ACWI    ETF             78463X848    3313     95616 SH         DEFINED    1                            95616
 EX-US ETF
SPDR              ETF             78463X855    2926     68754 SH         DEFINED    5                            68754
 FTSE/MACQUARIE
 GLOBAL
 INFRASTRUCTURE
 100 ETF
VANGUARD FTSE     Investments     922042775   38866    780284 SH         DEFINED    1                           780284
 ALL-WORLD        that contain a
 EX-US ETF        pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
SPDR S&P          ETF             78463X509   36898    503167 SH         DEFINED    2,5,18                      503167
 EMERGING
 MARKETS ETF
VANGUARD TOTAL    Investments     921937835  390915   4816600 SH         DEFINED    2                          4816600
 BOND MARKET      that contain a
 ETF              pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
DELTA AIR         Common equity   247361702  110186  12016259 SH         DEFINED    1,2,5,6,8,10,12,18        12016259
 LINES INC        shares
OREXIGEN          Common equity   686164104    1356    851886 SH         DEFINED    1,2,6,8                     851886
 THERAPEUTICS     shares
 INC
PHARMASSET INC    Common Stock    71715N106   59005    525873 SH         DEFINED    1,2,5,6,8                   525873







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SPDR S&P          ETF             78463X871   77189   2430386 SH         DEFINED    1,2                        2430386
 INTERNATIONAL
 SMALL CAP ETF
SPDR S&P WORLD    Investments     78463X889    6000    223428 SH         DEFINED    1,2                         223428
 EX-US ETF        that contain a
                  pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
BIDZ.COM INC      Common equity   08883T200      14     14400 SH         DEFINED    1                            14400
                  shares
CAVIUM INC        Private         14964U108   47925   1099447 SH         DEFINED    1,2,5,6,8                  1099447
                  company?no
                  public equity
                  shares
NEUROGESX INC     Common equity   641252101      19     10900 SH         DEFINED    1                            10900
                  shares
INTERACTIVE       Common equity   45841N107    9103    581718 SH         DEFINED    1,2,5,6,8                   581718
 BROKERS GROUP    shares
ALLIED NEVADA     Common equity   019344100   63235   1787764 SH         DEFINED    1,2,5,6,8                  1787764
 GOLD CORP        shares
AECOM             Common equity   00766T100   74814   2736570 SH         DEFINED    1,2,5,6,8,12               2736570
 TECHNOLOGY       shares
 CORP
BIODEL INC        Common equity   09064M105      28     15370 SH         DEFINED    1,2                          15370
                  shares
JMP GROUP INC     Common equity   46629U107    1915    272751 SH         DEFINED    1,2                         272751
                  shares
SOLERA            Common equity   83421A104  101275   1711828 SH         DEFINED    1,2,5,6,8,12               1711828
 HOLDINGS INC     shares
CONTINENTAL       Common equity   212015101   53594    825801 SH         DEFINED    1,2,5,6,8,10,12,18          825801
 RESOURCES INC    shares
INSULET CORP      Common equity   45784P101   19598    883795 SH         DEFINED    1,2,5,6,8                   883795
                  shares
SKILLED           Common equity   83066R107    3892    411278 SH         DEFINED    1,2,8                       411278
 HEALTHCARE       shares
 GROUP INC
CAI               Common equity   12477X106    4451    215494 SH         DEFINED    1,2,6                       215494
 INTERNATIONAL    shares
 INC
TECHTARGET INC    Common equity   87874R100    1231    162419 SH         DEFINED    1,2                         162419
                  shares
ENERNOC INC       Common Stock    292764107    6518    414091 SH         DEFINED    1,2,5,6,8                   414091
TRIMAS CORP       Common Stock    896215209   12272    495775 SH         DEFINED    1,2,6,8                     495775
B&G FOODS INC     Common equity   05508R106   24197   1173368 SH         DEFINED    1,2,6,8                    1173368
                  shares
RSC HOLDINGS      Common equity   74972L102   14265   1192805 SH         DEFINED    1,2,5,6,8                  1192805
 INC              shares
GREENLIGHT        Common equity   G4095J109   15324    582835 SH         DEFINED    1,2,5,6,8                   582835
 CAPITAL RE LTD   shares
ADVENT/CLAYMORE   Closed end      007639107     180     19836 SH         DEFINED    18                           19836
 GLOBAL           mutual fund
 CONVERTIBLE
 SECURITIES &
 INCOME FUND
CLEAN ENERGY      Common Stock    184499101   19988   1520169 SH         DEFINED    1,2,5,6,8                  1520169
 FUELS CORP
AMICUS            Common equity   03152W109    1019    171271 SH         DEFINED    1,2                         171271
 THERAPEUTICS     shares
 INC
JAZZ              Common equity   472147107   24258    727352 SH         DEFINED    1,2,6                       727352
 PHARMACEUTICALS  shares
 INC
LDK SOLAR CO      American        50183L107     580     79162 SH         DEFINED    1,2                          79162
 LTD              Depository
                  Receipt
ENERGY XXI        Common equity   G10082140   54734   1647683 SH         DEFINED    1,2,6,8                    1647683
 (BERMUDA)        shares
SWISHER           Common equity   870808102    8011   1422700 SH         DEFINED    1,2,6                      1422700
 HYGIENE INC      shares
INFINERA CORP     Common Stock    45667G103   12745   1844249 SH         DEFINED    1,2,5,6,8                  1844249
FBR & CO          Common equity   30247C301    3078    905287 SH         DEFINED    1,2,8                       905287
                  shares
LIMELIGHT         Common Stock    53261M104    4414    968243 SH         DEFINED    1,2,6                       968243
 NETWORKS INC
VANTAGE           Common equity   G93205113    9219   5064847 SH         DEFINED    1,2,6                      5064847
 DRILLING CO      shares
DISCOVER          Common equity   254709108  546988  20448131 SH         DEFINED    1,2,5,6,8,10,12,18        20448131
 FINANCIAL        shares
 SVCS INC
COVIDIEN PLC      Common equity   G2554F113  962822  18087743 SH         DEFINED    1,2,5,6,8,10,12,17,18     18087743
                  shares
TE                Common equity   H84989104  119866   3260803 SH         DEFINED    1,2,5,6,8,10,12,18         3260803
 CONNECTIVITY     shares
 LTD
STERLITE          American        859737207    8281    550186 SH         DEFINED    1,2,6,8                     550186
 INDUSTRIES       Depository
 (INDIA)          Receipt
BLACKSTONE        Limited         09253U108     167     10100 SH         DEFINED    1,8                          10100
 GROUP LP         Partnership
AUTHENTEC INC     Common equity   052660107      28     10200 SH         DEFINED    1                            10200
                  shares
BLACKROCK         Common equity   092533108   13539   1509243 SH         DEFINED    1,2,6,8                    1509243
 KELSO CAPITAL    shares
 CORP
COMSCORE INC      Common Stock    20564W105   15026    579945 SH         DEFINED    1,2,6,8                     579945
SPECTRA ENERGY    Limited         84756N109    1520     47765 SH         DEFINED    1                            47765
 PARTNERS LP      Partnership
BOISE INC         Common equity   09746Y105   18021   2313662 SH         DEFINED    1,2,6,8,17                 2313662
                  shares
POLYPORE          Common equity   73179V103   25161    370946 SH         DEFINED    1,2,5,6,8                   370946
 INTERNATIONAL    shares
 INC
PROS HOLDINGS     Common equity   74346Y103    5966    341403 SH         DEFINED    1,2,6                       341403
 INC              shares
INTERCLICK INC    Common equity   458483203    2075    260600 SH         DEFINED    1,2                         260600
                  shares
SHORETEL INC      Common Stock    825211105    8463    829933 SH         DEFINED    1,2,6,8                     829933
BENEFICIAL        Common equity   08173R104    5393    656424 SH         DEFINED    1,2,5,6,8                   656424
 MUTUAL BANCORP   shares
IPATH CBOE S&P    Investments     06739F135     889     18215 SH         DEFINED    5                            18215
 500 BUYWRITE     that contain a
 INDEX ETN        pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
SPDR BARCLAYS     ETF             78464A649    9773    173314 SH         DEFINED    2                           173314
 CAPITAL
 AGGREGATE
 BOND ETF
SPDR DB           Investments     78464A490   21290    343829 SH         DEFINED    2                           343829
 INTERNATIONAL    that contain a
 GOVERNMENT       pool of
 INFLATION-PROTEC securities
 BOND ETF         representing a
                  specific
                  index  and are
                  built like mutu
WABCO HOLDINGS    Common equity   92927K102   60643    878115 SH         DEFINED    1,2,5,6,8                   878115
 INC              shares
DICE HOLDINGS     Common equity   253017107   10950    809838 SH         DEFINED    1,2,6,8                     809838
 INC              shares
ENCORE            Common equity   29255V201    1627    135363 SH         DEFINED    1,2                         135363
 BANCSHARES INC   shares
PHARMERICA CORP   Common equity   71714F104    9093    712501 SH         DEFINED    1,2,5,6,8                   712501
                  shares
HHGREGG INC       Common equity   42833L108    3749    279937 SH         DEFINED    1,2,6,8                     279937
                  shares
ORBITZ            Common equity   68557K109    1097    441357 SH         DEFINED    1,2,5,6                     441357
 WORLDWIDE INC    shares
ZAGG INC          Common equity   98884U108    3497    261000 SH         DEFINED    1,2                         261000
                  shares
MONOTYPE          Common equity   61022P100   12182    862071 SH         DEFINED    1,2,6,8                     862071
 IMAGING          shares
 HOLDINGS
REX ENERGY CORP   Common Stock    761565100   13643   1328690 SH         DEFINED    1,2,5,6,8                  1328690
VALIDUS           Common equity   G9319H102   28060    906719 SH         DEFINED    1,2,5,6,8,18                906719
 HOLDINGS LTD     shares
LULULEMON         Common equity   550021109   25024    223802 SH         DEFINED    1,2,5,8,10,12,18            223802
 ATHLETICA INC    shares
DOLAN CO          Common equity   25659P402    6100    719916 SH         DEFINED    1,2,6,8                     719916
                  shares
SUCAMPO           Common equity   864909106     694    169772 SH         DEFINED    1,2                         169772
 PHARMACEUTICALS  shares
 INC
GENPACT LTD       Common equity   G3922B107   17886   1037664 SH         DEFINED    1,2,5,6                    1037664
                  shares
CONCHO            Common equity   20605P101  161830   1761804 SH         DEFINED    1,2,5,6,8,10,12,18         1761804
 RESOURCES INC    shares
VIRTUSA CORP      Common Stock    92827P102    4519    238407 SH         DEFINED    1,2,6                       238407
E-HOUSE CHINA     American        26852W103    1026    104570 SH         DEFINED    1,2,6                       104570
 HOLDINGS  -ADR   Depository
                  Receipt
MASIMO CORP       Common Stock    574795100   55971   1885793 SH         DEFINED    1,2,5,6,8,12               1885793
DEMANDTEC INC     Common equity   24802R506    3847    422647 SH         DEFINED    1,2,6                       422647
                  shares
WUXI              American        929352102    2577    146780 SH         DEFINED    1,2,6                       146780
 PHARMATECH       Depository
 (CAYMAN)-ADR     Receipt
HORSEHEAD         Common equity   440694305   27140   2037387 SH         DEFINED    1,2,6,8                    2037387
 HOLDING CORP     shares
MERCADOLIBRE      Common Stock    58733R102    2098     26438 SH         DEFINED    1,5,6,8                      26438
 INC
VMWARE INC -CL    Common equity   928563402  131702   1314130 SH         DEFINED    1,2,5,6,8,10,12,18         1314130
 A                shares
SPDR BARCLAYS     ETF             78464A656   32334    590772 SH         DEFINED    1,2                         590772
 CAPITAL TIPS
 ETF
CYBERDEFENDER     Common equity   23248L107      14     10200 SH         DEFINED    1                            10200
 CORP             shares
BARCLAYS BANK     Public          06739H776    1386     54665 SH         DEFINED    2                            54665
 PLC              preferred
                  instrument
ENCORE ENERGY     Misc Equity     29257A106    1078     50583 SH         DEFINED    1                            50583
 PARTNERS LP
TERADATA CORP     Common equity   88076W103  373928   6211542 SH         DEFINED    1,2,5,6,8,10,12,18         6211542
                  shares
ATHENAHEALTH      Common Stock    04685W103   30654    745872 SH         DEFINED    1,2,5,6,8                   745872
 INC
DUFF & PHELPS     Common equity   26433B107    6540    509650 SH         DEFINED    1,2,6,8                     509650
 CORP             shares
CONSTANT          Common Stock    210313102   14112    555905 SH         DEFINED    1,2,6,8                     555905
 CONTACT INC
MAIN STREET       Common equity   56035L104    6129    323379 SH         DEFINED    1,2,8                       323379
 CAPITAL CORP.    shares
MAP               Common equity   56509R108    5109    320045 SH         DEFINED    1,2,6                       320045
 PHARMACEUTICALS  shares
 INC
RESOLUTE          Common Stock    76116A108   13155    814068 SH         DEFINED    1,2,6,8                     814068
 ENERGY CORP
FIRST             Common equity   32022K102      56     11000 SH         DEFINED    1                            11000
 FINANCIAL        shares
 NORTHWEST
TEXTAINER         Common equity   G8766E109    6259    203581 SH         DEFINED    1,2                         203581
 GROUP            shares
 HOLDINGS LTD
ZEP INC           Common equity   98944B108    8724    461488 SH         DEFINED    1,2,5,6,8                   461488
                  shares
PATRIOT COAL      Common equity   70336T104   97772   4392363 SH         DEFINED    1,2,5,6,8,12               4392363
 CORP             shares
DUPONT FABROS     Real Estate     26613Q106   49723   1973002 SH         DEFINED    1,2,3,5,6,8                1973002
 TECHNOLOGY INC   Investment
                  Trust
CVR ENERGY INC    Common equity   12662P108   54906   2230036 SH         DEFINED    1,2,5,6,8                  2230036
                  shares
AMERICAN DG       Common equity   025398108      38     23281 SH         DEFINED    1                            23281
 ENERGY INC       shares
PZENA             Common equity   74731Q103     710    124722 SH         DEFINED    1,2                         124722
 INVESTMENT       shares
 MANAGEMENT
ULTA SALON        Common equity   90384S303   40954    634195 SH         DEFINED    1,2,5,6,8                   634195
 COSMETCS &       shares
 FRAG
RETAIL            REIT            76131N101    8994    835585 SH         DEFINED    1,2,3,6,8                   835585
 OPPORTUNITY
 INVTS CP
DELTEK INC        Common equity   24784L105    2541    340062 SH         DEFINED    1,2,6,8                     340062
                  shares
GIANT             American        374511103    1437    195297 SH         DEFINED    1,2,6                       195297
 INTERACTIVE      Depository
 GROUP -ADR       Receipt
NANOSPHERE INC    Common equity   63009F105      39     20900 SH         DEFINED    1                            20900
                  shares
NEUTRAL TANDEM    Common Stock    64128B108   12270    704350 SH         DEFINED    1,2,5,6,8                   704350
 INC
SANDRIDGE         Common equity   80007P307   56103   5263123 SH         DEFINED    1,2,5,6,8                  5263123
 ENERGY INC       shares
APPROACH          Common Stock    03834A103   17405    767770 SH         DEFINED    1,2,6,8                     767770
 RESOURCES INC
NORTHFIELD        Common equity   66611L105    4744    337597 SH         DEFINED    1,2,8                       337597
 BANCORP INC      shares
AMERICAN          Common Stock    02913V103   17057    383252 SH         DEFINED    1,2,5,6,8                   383252
 PUBLIC
 EDUCATION
ENSIGN GROUP      Common equity   29358P101    9019    296845 SH         DEFINED    1,2,6                       296845
 INC              shares
LUMBER            Common equity   55003T107   27200   1070855 SH         DEFINED    1,2,6,8                    1070855
 LIQUIDATORS      shares
 HLDGS INC
ENERGYSOLUTIONS   Common equity   292756202    8292   1678737 SH         DEFINED    1,2,5,6,8                  1678737
 INC              shares
ENTEROMEDICS      Common equity   29365M208      37     13800 SH         DEFINED    1                            13800
 INC              shares
MSCI INC          Common equity   55354G100  106896   2836785 SH         DEFINED    1,2,5,6,8,12               2836785
                  shares
CHIMERA           Real Estate     16934Q109   46148  13337154 SH         DEFINED    1,2,5,6,8                 13337154
 INVESTMENT       Investment
 CORP             Trust
EL PASO           Limited         283702108    4506    129661 SH         DEFINED    1                           129661
 PIPELINE         Partnership
 PARTNERS LP
RUBICON           Common Stock    78112T107    5017    297851 SH         DEFINED    1,2,6,8                     297851
 TECHNOLOGY INC
ISHARES MSCI      Investments     464286657    1344     28127 SH         DEFINED    6                            28127
 BRIC INDEX       that contain a
 FUND             pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
HECKMANN CORP     Common Stock    422680108   10261   1698696 SH         DEFINED    1,2,5,6,8                  1698696
SUCCESSFACTORS    Common Stock    864596101   45510   1547873 SH         DEFINED    1,2,5,6,8                  1547873
 INC
STREAM GLOBAL     Common equity   86323M100     247     74514 SH         DEFINED    1                            74514
 SERVICES INC     shares
INVESCO LTD       American        G491BT108  423592  18102225 SH         DEFINED    1,2,5,6,8,10,12,18        18102225
                  Depository
                  Receipt
BARCLAYS BANK     Public          06739H511    1174     45720 SH         DEFINED    2                            45720
 PLC              preferred
                  instrument
SPDR BARCLAYS     ETF             78464A417  342145   8506819 SH         DEFINED    1,2,5                      8506819
 CAPITAL HIGH
 YIELD BOND ETF
SOLUTIA INC       Common equity   834376501   30392   1329931 SH         DEFINED    1,2,5,6,8                  1329931
                  shares
FEDERAL-MOGUL     Common Stock    313549404    5028    219975 SH         DEFINED    1,2,5,6,8                   219975
 CORP
TITAN             Common Stock    88830R101    6909    239916 SH         DEFINED    1,2,6                       239916
 MACHINERY INC
ENTROPIC          Common Stock    29384R105   16696   1878080 SH         DEFINED    1,2,6,8                    1878080
 COMMUNICATIONS
 INC
TRIPLE-S          Common equity   896749108   10947    503972 SH         DEFINED    1,2,8                       503972
 MANAGEMENT       shares
 CORP
APPLIED MICRO     Common equity   03822W406   14432   1628808 SH         DEFINED    1,2,5,6,8                  1628808
 CIRCUITS CORP    shares
CARDTRONICS INC   Common equity   14161H108   22214    947436 SH         DEFINED    1,2,6,8                     947436
                  shares
TWO HARBORS       Common equity   90187B101   21117   1963976 SH         DEFINED    1,2,8                      1963976
 INVESTMENT       shares
 CORP
FORESTAR GROUP    Common equity   346233109   13895    845640 SH         DEFINED    1,2,5,6,8                   845640
 INC              shares
ISHARES MSCI      Investments     464288273     428      9814 SH         DEFINED    1                             9814
 EAFE SMALL       that contain a
 CAP INDEX FUND   pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
K12 INC           Common Stock    48273U102   16518    498304 SH         DEFINED    1,2,5,6,8                   498304
MEDASSETS INC     Common equity   584045108   11788    882210 SH         DEFINED    1,2,5,6,8                   882210
                  shares
TEEKAY TANKERS    Common equity   Y8565N102    5490    584142 SH         DEFINED    1,2                         584142
 LTD              shares
ORION ENERGY      Common Stock    686275108      57     14500 SH         DEFINED    1                            14500
 SYSTEMS INC
ISHARES           Investments     464288281    2801     25630 SH         DEFINED    1,18                         25630
 JPMORGAN USD     that contain a
 EMERGING         pool of
 MARKETS BOND     securities
 FUND             representing a
                  specific
                  index  and are
                  built like mutu
NETSUITE INC      Common equity   64118Q107   18063    460817 SH         DEFINED    1,2,5,6,8                   460817
                  shares
ORION MARINE      Common Stock    68628V308    5253    557917 SH         DEFINED    1,2,8                       557917
 GROUP INC
NATIONAL AMERN    Common equity   63245Q105     926     98239 SH         DEFINED    1,2                          98239
 UNIV HLDG INC    shares
ECHOSTAR CORP     Common equity   278768106   17590    482828 SH         DEFINED    1,2,5,6,8                   482828
                  shares
CALPINE CORP      Common equity   131347304   90647   5619936 SH         DEFINED    1,2,5,6,8,10,12,18         5619936
                  shares
DANVERS           Common Stock    236442109    7921    363899 SH         DEFINED    1,2,6,8,17                  363899
 BANCORP INC
BROOKFIELD        Misc Equity     G16252101    4430    176820 SH         DEFINED    1,2,5,6                     176820
 INFRS PTRS LP
A. H. BELO CORP   Common equity   001282102    2472    331870 SH         DEFINED    1,2                         331870
                  shares
MERIDIAN          Common equity   58964Q104    2128    155470 SH         DEFINED    1,2                         155470
 INTERSTATE       shares
 BANCORP
IPC THE           Common Stock    44984A105   15909    343190 SH         DEFINED    1,2,6,8                     343190
 HOSPITALIST
 CO INC
CAPE BANCORP      Common equity   139209100    1301    130100 SH         DEFINED    1,2                         130100
 INC              shares
DANA HOLDING      Common equity   235825205   68659   3751900 SH         DEFINED    1,2,5,6,8                  3751900
 CORP             shares
MAKO SURGICAL     Common equity   560879108   17791    598423 SH         DEFINED    1,2,6,8                     598423
 CORP             shares
HERITAGE-CRYSTAL  Common equity   42726M106     994     51700 SH         DEFINED    1,2                          51700
 CLEAN INC        shares
PHILIP MORRIS     Common equity   718172109 4967156  74406961 SH         DEFINED    1,2,5,6,8,10,12,17,18,19  74378598
 INTERNATIONAL    shares
CARDIONET INC     Common equity   14159L103    2456    462739 SH         DEFINED    1,2                         462739
                  shares
HILLENBRAND INC   Common equity   431571108   34268   1449026 SH         DEFINED    1,2,5,6,8                  1449026
                  shares
VISA INC          Common equity   92826C839 1489601  17678614 SH         DEFINED    1,2,5,6,8,10,12,18        17678614
                  shares
1ST UNITED        Common equity   33740N105    2283    367203 SH         DEFINED    1,2                         367203
 BANCORP INC      shares
IRIDIUM           Common equity   46269C102    5437    628638 SH         DEFINED    1,2,6,8                     628638
 COMMUNICATIONS   shares
 INC
L & L ENERGY      Common equity   50162D100    1396    271900 SH         DEFINED    1,2                         271900
 INC              shares
ISHARES MSCI      Investments     464286715    4313     72375 SH         DEFINED    1                            72375
 TURKEY           that contain a
 INVESTABLE       pool of
 MARKET INDEX     securities
 FUND             representing a
                  specific
                  index  and are
                  built like mutu
ISHARES TRUST     Investments     464288240    1489     33069 SH         DEFINED    1                            33069
 ISHARES MSCI     that contain a
 ACWI EX US       pool of
 INDEX FUND       securities
                  representing a
                  specific
                  index  and are
                  built like mutu
BARCLAYS BANK     Public          06739H362    2775    105354 SH         DEFINED    2                           105354
 PLC              preferred
                  instrument
INTREPID          Common equity   46121Y102   37244   1145762 SH         DEFINED    1,2,5,6,8,12               1145762
 POTASH INC       shares
AMERICAN WATER    Common equity   030420103   88800   3015420 SH         DEFINED    1,2,5,6,8,10,12,18         3015420
 WORKS CO INC     shares
HATTERAS          Common equity   41902R103   44655   1581776 SH         DEFINED    1,2,5,6,8                  1581776
 FINANCIAL CORP   shares
DR PEPPER         Common equity   26138E109  367632   8767794 SH         DEFINED    1,2,5,6,8,10,12,18         8767794
 SNAPPLE GROUP    shares
 INC
MAIDEN            Common equity   G5753U112    9648   1060424 SH         DEFINED    1,2,8                      1060424
 HOLDINGS LTD     shares
COLFAX CORP       Common equity   194014106   11880    479070 SH         DEFINED    1,2,5,6,8                   479070
                  shares
WESTERN GAS       Limited         958254104    2503     70428 SH         DEFINED    1                            70428
 PARTNERS LP      Partnership
GUARANTY          Common equity   40075T102      53     39200 SH         DEFINED    1                            39200
 BANCORP          shares
INVERNESS         Public          01449J20     3602     13355 SH         DEFINED    1,2                          13355
 MEDICAL          preferred
 INNOVATIONS      instrument
SPDR DJ GLOBAL    ETF             78463X749     543     13797 SH         DEFINED    5                            13797
 REAL ESTATE
 ETF
AMERICAN          REIT            02503X105   45797   1573243 SH         DEFINED    1,2,5,6,8                  1573243
 CAPITAL
 AGENCY CORP
AMPIO             Common Stock    03209T109    1861    239000 SH         DEFINED    1,2                         239000
 PHARMACEUTICALS
 INC
VERSO PAPER       Common equity   92531L108     467    174429 SH         DEFINED    1,2                         174429
 CORP             shares
AIR TRANSPORT     Common equity   00922R105    7685   1122171 SH         DEFINED    1,2                        1122171
 SERVICES GROUP   shares
FIFTH STREET      Common equity   31678A103   14899   1284392 SH         DEFINED    1,2,6,8                    1284392
 FINANCE CORP     shares
SCRIPPS           Common equity   811065101  155242   3175994 SH         DEFINED    1,2,5,6,8,10,12,18         3175994
 NETWORKS         shares
 INTERACTIVE
TW TELECOM INC    Common equity   87311L104   81311   3960325 SH         DEFINED    1,2,5,6,8,12               3960325
                  shares
LENDER            Common equity   52602E102   48699   2328997 SH         DEFINED    1,2,5,6,8,10,12,18         2328997
 PROCESSING       shares
 SERVICES
ENERGY            Common Stock    29270J100    2382    728178 SH         DEFINED    1,2,6,8                     728178
 RECOVERY INC
ACTIVISION        Common equity   00507V109  117164  10031351 SH         DEFINED    1,2,5,6,8,10,12,18        10031351
 BLIZZARD INC     shares
FUTUREFUEL CORP   Common equity   36116M106    2889    238600 SH         DEFINED    1,2                         238600
                  shares
ACE LTD           Common equity   H0023R105  833337  12660854 SH         DEFINED    1,2,5,6,8,10,12,17,18     12660854
                  shares
JOHN BEAN         Common equity   477839104   12411    642455 SH         DEFINED    1,2,5,6,8                   642455
 TECHNOLOGIES     shares
SPDR S&P          Investments     78463X632    1820     88697 SH         DEFINED    6                            88697
 INTERNATIONAL    that contain a
 UTILITIES        pool of
 SECTOR ETF       securities
                  representing a
                  specific
                  index  and are
                  built like mutu
SPDR S&P          Investments     78463X715    3060    106485 SH         DEFINED    2                           106485
 INTERNATIONAL    that contain a
 ENERGY SECTOR    pool of
 ETF              securities
                  representing a
                  specific
                  index  and are
                  built like mutu
GT SOLAR INTL     Common equity   3623E0209   41763   2578048 SH         DEFINED    1,2,5,6,8                  2578048
 INC              shares
SIRIUS XM         Common equity   82967N108  126849  57920814 SH         DEFINED    1,2,5,6,8,10,12,18        57920814
 RADIO INC        shares
RACKSPACE         Common equity   750086100  106868   2500343 SH         DEFINED    1,2,5,6,8,12               2500343
 HOSTING INC      shares
HSN INC           Common equity   404303109   39131   1188680 SH         DEFINED    1,2,5,6,8                  1188680
                  shares
INTERVAL          Common equity   46113M108   13282    970375 SH         DEFINED    1,2,5,6,8                   970375
 LEISURE GROUP    shares
MYR GROUP INC     Common Stock    55405W104    9162    391607 SH         DEFINED    1,2,6,8                     391607
IBIO INC          Common Stock    451033104      36     12600 SH         DEFINED    1                            12600
SIGNET            Common equity   G81276100   58611   1252139 SH         DEFINED    1,2,5,6,12                 1252139
 JEWELERS LTD     shares
REINSURANCE       Common equity   759351604  120625   1981989 SH         DEFINED    1,2,5,6,8,12               1981989
 GROUP AMER INC   shares
REVLON INC        Common equity   761525609    4825    287194 SH         DEFINED    1,2,8                       287194
 -CL A            shares
ASCENT CAPITAL    Common Stock    043632108   15729    296920 SH         DEFINED    1,2,5,6,8                   296920
 GROUP INC
DISCOVERY         Common equity   25470F302   35932    983115 SH         DEFINED    1,2,5,8,10,12,18            983115
 COMMUNICATNS     shares
 NEW
ECOPETROL SA      American        279158109   14177    322148 SH         DEFINED    1,2,5,6,8,10                322148
                  Depository
                  Receipt
POWERSHARES       Investments     73936Q702    4482    136520 SH         DEFINED    2                           136520
 GLOBAL           that contain a
 AGRICULTURE      pool of
 PORTFOLIO        securities
                  representing a
                  specific
                  index  and are
                  built like mutu
SUNPOWER CORP     Common equity   867652307     326     19647 SH         DEFINED    1,5,6,8,10                   19647
                  shares







                                                    SHS/PRN   SH/  PUT/                                      SOLE      SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS             VOTING    VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KB FINANCIAL      American        48241A105    4179     87390 SH         DEFINED    1,2,6,18                     87390
 GROUP            Depository
                  Receipt
MODUSLINK         Common equity   60786L107    4737   1057420 SH         DEFINED    1,2,5,8                    1057420
 GLOBAL           shares
 SOLUTIONS
DIGIMARC CORP     Common equity   25381B101    3801    108444 SH         DEFINED    1,2                         108444
                  shares
GRAND CANYON      Common Stock    38526M106    9439    665633 SH         DEFINED    1,2,5,6,8                   665633
 EDUCATION INC
ELIZABETH         Common equity   28660G106   15114    520628 SH         DEFINED    1,2,5,6,8                   520628
 ARDEN INC        shares
IAC/INTERACTIVECO Common equity   44919P508   52487   1375179 SH         DEFINED    1,2,5,6,8,12,17,18         1375179
                  shares
CLEARWATER        Common Stock    18538R103   17215    252165 SH         DEFINED    1,2,5,6,8                   252165
 PAPER CORP
CRACKER BARREL    Common equity   22410J106   28335    574675 SH         DEFINED    1,2,5,6,8                   574675
 OLD CTRY STOR    shares
VIRTUS            Common Stock    92828Q109    7485    123410 SH         DEFINED    1,2,6                       123410
 INVESTMENT
 PTNRS INC
GENERAL           Common equity   Y2693R101    2352   1742311 SH         DEFINED    1,2,5,6,8                  1742311
 MARITIME CORP    shares
SAGA              Common Stock    786598300    1742     47053 SH         DEFINED    1,2                          47053
 COMMUNICATIONS
 -CL A
MEAD JOHNSON      Common equity   582839106  501620   7425878 SH         DEFINED    1,2,5,6,8,10,12,18         7425878
 NUTRITION CO     shares
SPDR BARCLAYS     Investments     78464A375    7406    222970 SH         DEFINED    2                           222970
 CAPITAL          that contain a
 INTERMEDIATE     pool of
 TERM             securities
 CORPORATE        representing a
 BOND ETF         specific
                  index  and are
                  built like mutu
IDT CORP          Common Stock    448947507   11046    408720 SH         DEFINED    1,2,6                       408720
HEARTWARE         Common equity   422368100   15975    215670 SH         DEFINED    1,2,6,8                     215670
 INTERNATIONAL    shares
 INC
ITAU UNIBANCO     American        465562106  154953   6579759 SH         DEFINED    1,2,4,5,6,8,10,18          6579759
 HLDG SA          Depository
                  Receipt
VANGUARD FTSE     Default         922042718     472      4598 SH         DEFINED    1                             4598
 ALL WORLD EX
 US SMALL CAP
 ETF
BRIDGEPOINT       Common equity   10807M105    7917    316295 SH         DEFINED    1,2,6,8                     316295
 EDUCATION INC    shares
ROSETTA STONE     Common Stock    777780107    2789    172729 SH         DEFINED    1,2,6                       172729
 INC
SPDR BARCLAYS     ETF             78464A359    5751    138635 SH         DEFINED    1                           138635
 CAPITAL
 CONVERTIBLE
 SECURITIES ETF
GOLDEN            Common equity   381119106    2876    161674 SH         DEFINED    1,2,6                       161674
 MINERALS CO      shares
DIGITALGLOBE      Common equity   25389M877   16778    660411 SH         DEFINED    1,2,5,6,8                   660411
 INC              shares
MARKET VECTORS    Default         57060U613     296      5215 SH         DEFINED    1                             5215
 BRAZIL SMALL
 CAP ETF
SOLARWINDS INC    Common equity   83416B109   27257   1042668 SH         DEFINED    1,2,5,6,8                  1042668
                  shares
OPENTABLE INC     Common Stock    68372A104   34490    414883 SH         DEFINED    1,2,6,8                     414883
GOVERNMENT        Real Estate     38376A103   16145    597582 SH         DEFINED    1,2,3,5,6,8                 597582
 PPTYS INCOME     Investment
 TR               Trust
CYPRESS           Common equity   23281A307   18327   1430786 SH         DEFINED    1,2,6,8                    1430786
 SHARPRIDGE       shares
 INVTS INC
MYREXIS INC       Common Stock    62856H107     135     37779 SH         DEFINED    1,5,6                        37779
MEDIDATA          Common equity   58471A105    8298    347631 SH         DEFINED    1,2,6,8                     347631
 SOLUTIONS INC    shares
INVESCO           Common equity   46131B100   33359   1578673 SH         DEFINED    1,2,6,8                    1578673
 MORTGAGE         shares
 CAPITAL INC
LOGMEIN INC       Common equity   54142L109   14067    364814 SH         DEFINED    1,2,6,8                     364814
                  shares
ALUFP 2.875       A U S  issuer   549463AH     7073   7198000 SH         DEFINED    2                          7198000
 06/15/25         issuing in U
                  S  dollars  in
                  the U S
                  capital market
TERRITORIAL       Common equity   88145X108    4543    219342 SH         DEFINED    1,2,17                      219342
 BANCORP INC      shares
GLOBE             Common equity   37954N206   57579   2568231 SH         DEFINED    1,2,6,8                    2568231
 SPECIALTY        shares
 METALS INC
PENNYMAC          Closed end      70931T103    8847    533793 SH         DEFINED    1,2,6,8                     533793
 MORTGAGE         mutual fund
 INVEST TR
ALTISOURCE        Common equity   L0175J104     456     12373 SH         DEFINED    1,5,6,8                      12373
 PORTFOLIO        shares
 SOLTNS
AVAGO             Common equity   Y0486S104  110912   2918799 SH         DEFINED    1,2,5,6,8,10,12,18         2918799
 TECHNOLOGIES     shares
 LTD
CUMBERLAND        Common equity   230770109      94     16253 SH         DEFINED    1                            16253
 PHARMACEUTICALS  shares
EMDEON INC        Common equity   29084T104    3879    295720 SH         DEFINED    1,2,6,8                     295720
                  shares
STARWOOD          Real Estate     85571B105   39526   1927189 SH         DEFINED    1,2,6,8                    1927189
 PROPERTY         Investment
 TRUST INC        Trust
CAREFUSION CORP   Common Stock    14170T101  228627   8414550 SH         DEFINED    1,2,5,6,8,10,12,18         8414550
CREXUS            Real Estate     226553105   14331   1289642 SH         DEFINED    1,2                        1289642
 INVESTMENT       Investment
 CORP             Trust
SPECTRUM          Common equity   84763R101   10314    322389 SH         DEFINED    1,2,6                       322389
 BRANDS           shares
 HOLDINGS INC
A123 SYSTEMS      Common Stock    03739T108    8837   1661343 SH         DEFINED    1,2,6,8                    1661343
 INC
APOLLO            Real Estate     03762U105    6094    378142 SH         DEFINED    1,2                         378142
 COMMERCIAL RE    Investment
 FIN INC          Trust
ARTIO GLOBAL      Common equity   04315B107    8885    786569 SH         DEFINED    1,2,8                       786569
 INVESTORS INC    shares
COLONY            Common equity   19624R106   11187    618966 SH         DEFINED    1,2,6,8                     618966
 FINANCIAL INC    shares
VITACOST.COM      Common equity   92847A200     153     31700 SH         DEFINED    1,2,6                        31700
 INC              shares
SELECT MEDICAL    Common equity   81619Q105    7668    864206 SH         DEFINED    1,2,8                       864206
 HOLDINGS CORP    shares
ECHO GLOBAL       Common equity   27875T101    3022    170314 SH         DEFINED    1,2,6                       170314
 LOGISTICS INC    shares
EDUCATION         Common equity   28140M103   10941    456979 SH         DEFINED    1,2,6,8                     456979
 MANAGEMENT       shares
 CORP
BANCO             Depository      05967A107   11016    940695 SH         DEFINED    1,2,4,5,6,8,10              940695
 SANTANDER        Receipt
 BRASIL  -ADR
VERISK            Common equity   92345Y106   61866   1787043 SH         DEFINED    1,2,5,6,8,10,12,18         1787043
 ANALYTICS INC    shares
MISTRAS GROUP     Common equity   60649T107    4566    281732 SH         DEFINED    1,2,6                       281732
 INC              shares
OMEROS CORP       Common equity   682143102      53     13180 SH         DEFINED    1                            13180
                  shares
RAILAMERICA INC   Common equity   750753402    6276    417911 SH         DEFINED    1,2,6                       417911
                  shares
DOLE FOOD CO      Common equity   256603101    9783    723407 SH         DEFINED    1,2,6,8                     723407
 INC              shares
VITAMIN SHOPPE    Common equity   92849E101   26717    583851 SH         DEFINED    1,2,6,8                     583851
 INC              shares
ANCESTRY.COM      Common equity   032803108   22754    549708 SH         DEFINED    1,2,6,8                     549708
 INC              shares
HYATT HOTELS      Common equity   448579102   21762    533145 SH         DEFINED    1,2,5,6,8                   533145
 CORP             shares
LIBERTY MEDIA     Common equity   53071M708   49887    663032 SH         DEFINED    1,2,5,6,8,12                663032
 STARZ GROUP      shares
STR HOLDINGS      Common equity   78478V100    9158    613806 SH         DEFINED    1,2,6,8                     613806
 INC              shares
LEAR CORP         Common equity   521865204   71057   1328649 SH         DEFINED    1,2,5,6,8,17               1325409          3240
                  shares
DOLLAR GENERAL    Common Stock    256677105   52257   1541823 SH         DEFINED    1,2,5,6,8,10,12,18         1541823
 CORP
RUE21 INC         Common equity   781295100   14738    453380 SH         DEFINED    1,2,6,8                     453380
                  shares
BRASIL TELECOM    Depository      10553M200     361     33393 SH         DEFINED    1,2,10                       33393
 SA               Receipt
FORTINET INC      Common equity   34959E109   33007   1209490 SH         DEFINED    1,2,5,6,8                  1209490
                  shares
ARCHIPELAGO       Common equity   03956P102    1927    195272 SH         DEFINED    1,2,6                       195272
 LEARNING INC     shares
CLOUD PEAK        Common equity   18911Q102   56322   2644374 SH         DEFINED    1,2,6,8                    2644374
 ENERGY INC       shares
AOL INC           Common equity   00184X105   55860   2812488 SH         DEFINED    1,2,5,6,8,10,12            2812488
                  shares
CHARTER           Common equity   16117M305   29366    541169 SH         DEFINED    1,2,5,8                     541169
 COMMUNICATIONS   shares
 INC
ALCOA INC         USA: Bond       013817AT    10879   4270000 SH         DEFINED    2                          4270000
AMGEN INC         A U S  issuer   031162AQ    18000  17838000 SH         DEFINED    2                         178380000
                  issuing in U
                  S  dollars  in
                  the U S
                  capital market
AMYLIN            USA: Bond       032346AF     3735   4070000 SH         DEFINED    2                          4070000
 PHARMACEUTICALS
ARCHER DANIELS    A U S  issuer   039483AW     9538   8988000 SH         DEFINED    2                          8988000
                  issuing in U
                  S  dollars  in
                  the U S
                  capital market
BECKMAN           USA: Bond       075811AD     4788   4004000 SH         DEFINED    2                          4004000
 COULTER INC
BOSTON            USA: Bond       10112RAK     4856   4774000 SH         DEFINED    2                          4774000
 PROPERTIES LP
CEPHALON INC      A U S  issuer   156708AP    12467   7189000 SH         DEFINED    2                          7189000
 CEPH             issuing in U
                  S  dollars  in
                  the U S
                  capital market
CEPHALON INC      Common equity   156708AR     4162   3369000 SH         DEFINED    2                          3369000
                  shares
CHESAPEAKE        A U S  issuer   165167BZ    18746  17673000 SH         DEFINED    2                         176730000
 ENERGY CORP      issuing in U
                  S  dollars  in
                  the U S
                  capital market
CIENA CORP        A U S  issuer   171779AE     3021   3600000 SH         DEFINED    2                          3600000
                  issuing in U
                  S  dollars  in
                  the U S
                  capital market
D.R. HORTON       USA: Bond       23331ABB     3978   3569000 SH         DEFINED    2                          3569000
 INC DHI
DANAHER CORP      A U S  issuer   235851AF     8993   5849000 SH         DEFINED    2                          5849000
                  issuing in U
                  S  dollars  in
                  the U S
                  capital market
EMC CORP          USA: Bond       268648AK    20854  12156000 SH         DEFINED    2                         121560000
EMC CORP          A U S  issuer   268648AM    24038  13708000 SH         DEFINED    2                         137080000
                  issuing in U
                  S  dollars  in
                  the U S
                  capital market
GILEAD            A U S  issuer   375558AH     5859   4924000 SH         DEFINED    2                          4924000
 SCIENCES INC     issuing in U
                  S  dollars  in
                  the U S
                  capital market
HOLOGIC INC       A U S  issuer   436440AA     9061   9381000 SH         DEFINED    2                          9381000
                  issuing in U
                  S  dollars  in
                  the U S
                  capital market
INTEL CORP        A U S  issuer   458140AD    11532  11094000 SH         DEFINED    2                         11094000
                  issuing in U
                  S  dollars  in
                  the U S
                  capital market
L-3 COMMS         USA: Bond       502413AW     5123   4974000 SH         DEFINED    2                          4974000
 HLDGS INC
LIBERTY MEDIA     A U S  issuer   530718AF    10837   8990000 SH         DEFINED    2                          8990000
 LLC              issuing in U
                  S  dollars  in
                  the U S
                  capital market
LIFEPOINT         A U S  issuer   53219LAH     4388   4079000 SH         DEFINED    2                          4079000
 HOSPITALS INC    issuing in U
                  S  dollars  in
                  the U S
                  capital market
LINEAR            Any issuer      535678AC     6336   5930000 SH         DEFINED    2                          5930000
 TECHNOLOGY       issuing in any
 CORP A           currency
                  offered in all
                  markets
                  imultaneously
MASSEY ENERGY     USA: Bond       576203AJ     4721   4352000 SH         DEFINED    2                          4352000
 CO
MEDTRONIC INC     Any issuer      585055AM    15976  15587000 SH         DEFINED    2                         15587000
                  issuing in any
                  currency
                  offered in all
                  markets
                  simultaneously
MICROCHIP         USA: Bond       595017AB    10941   8020000 SH         DEFINED    2                          8020000
 TECHNOLOGY INC
MICRON            A U S  issuer   595112AH     6882   7073000 SH         DEFINED    2                          7073000
 TECHNOLOGY INC   issuing in U
                  S  dollars  in
                  the U S
                  capital market
MOLSON COORS      Common equity   60871RAA     4542   4094000 SH         DEFINED    2                          4094000
 BREWING CO       shares
MYLAN INC         USA: Bond       628530AG     4828   4320000 SH         DEFINED    2                          4320000
NII HOLDINGS      Any issuer      62913FAJ     8049   8027000 SH         DEFINED    2                          8027000
 INC              issuing in any
                  currency
                  offered in all
                  markets
                  imultaneously
NETAPP INC        USA: Bond       64110DAB    15820   9314000 SH         DEFINED    2                          9314000
NEWMONT MINING    A U S  issuer   651639AH     5258   4023000 SH         DEFINED    2                          4023000
 CORP             issuing in U
                  S  dollars  in
                  the U S
                  capital market
NEWMONT MINING    USA: Bond       651639AJ     6115   4521000 SH         DEFINED    2                          4521000
 CORP
PEABODY ENERGY    USA: Bond       704549AG     6342   5173000 SH         DEFINED    2                          5173000
 CORP
SANDISK CORP      A U S  issuer   80004CAC     7123   7358000 SH         DEFINED    2                          7358000
                  issuing in U
                  S  dollars  in
                  the U S
                  capital market
SUNTECH POWER     Common equity   86800CAE     3901   4470000 SH         DEFINED    2                          4470000
 HLDGS CO         shares
SYMANTEC CORP     USA: Bond       871503AF     8978   7402000 SH         DEFINED    2                          7402000
TEVA PHARM        A U S  issuer   88163VAE     3994   3591000 SH         DEFINED    2                          3591000
 FINANCE LLC C    issuing in U
                  S  dollars  in
                  the U S
                  capital market
TEXTRON INC TXT   USA: Bond       883203BN     8598   4598000 SH         DEFINED    2                          4598000
TRANSOCEAN INC    A U S  issuer   893830AV    11678  11705000 SH         DEFINED    2                         11705000
 B                issuing in U
                  S  dollars  in
                  the U S
                  capital market
TRANSOCEAN INC    USA: Bond       893830AW    12283  12481000 SH         DEFINED    2                         12481000
 C
UAL CORP          USA: Bond       902549AH     5045   5200000 SH         DEFINED    2                          5200000
USEC INC          Common equity   90333EAC     3471   4795000 SH         DEFINED    2                          4795000
                  shares
US STEEL CORP     USA: Bond       912909AE     9721   6082000 SH         DEFINED    2                          6082000
VERISIGN INC      A U S  issuer   92343EAD    10459   8982000 SH         DEFINED    2                          8982000
                  issuing in U
                  S  dollars  in
                  the U S
                  capital market
WACHOVIA CORP     Public          94974680    31211     29743 SH         DEFINED    1,2                          29743
                  preferred
                  instrument
XILINX INC        USA: Bond       983919AD     6149   4823000 SH         DEFINED    2                          4823000
PEBBLEBROOK       Common equity   70509V100   19388    960317 SH         DEFINED    1,2,3,6,8                   960317
 HOTEL TRUST      shares
CIT GROUP INC     Common equity   125581801  286526   6473711 SH         DEFINED    1,2,5,6,8,10,12,18         6473711
                  shares
KAR AUCTION       Common equity   48238T109    5472    289437 SH         DEFINED    1,2,6,8                     289437
 SERVICES INC     shares
ALLIANCE DATA     USA: Bond       018581AD     7044   5526000 SH         DEFINED    2                          5526000
 SYSTEMS CO
 144A
BANK OF           USA: Bond       06050568    24914     25060 SH         DEFINED    1,2                          25060
 AMERICA CORP
INTL GAME         USA: Bond       459902AQ     7677   6400000 SH         DEFINED    2                          6400000
 TECHNOLOGY
 144A
ARCELORMITTAL     USA: Bond       03938LAK     8230   5931000 SH         DEFINED    2                          5931000
AES TRUST III     Preferred       00808N20     3700     76878 SH         DEFINED    1,2                          76878
                  equity shares
LIBERTY MEDIA     Common equity   530715AR     2582   2961000 SH         DEFINED    2                          2961000
 LLC              shares
SBA               USA: Bond       78388JAN     4014   3639000 SH         DEFINED    2                          3639000
 COMMUNICATIONS
 CORP 144A
VALE CAPITAL II   USA: Bond       91912F30     8742     94766 SH         DEFINED    2                            94766
COBALT INTL       Common equity   19075F106   22514   1651691 SH         DEFINED    1,2,5,6,8                  1651691
 ENERGY INC       shares
TEAM HEALTH       Common equity   87817A107   11372    505038 SH         DEFINED    1,2,6,8                     505038
 HOLDINGS INC     shares
NAVISTAR INTL     USA: Bond       63934EAL     5264   4022000 SH         DEFINED    2                          4022000
 CORP
NEWMONT MINING    Common equity   651639AK     4080   3317000 SH         DEFINED    2                          3317000
 CORP             shares
KRATON            Common equity   50077C106   22122    564717 SH         DEFINED    1,2,6,8                     564717
 PERFORMANCE      shares
 POLYMERS
STATE BANK        Common equity   856190103    8782    536400 SH         DEFINED    1,2,6                       536400
 FINANCIAL CORP   shares
SUPERMEDIA INC    Common equity   868447103      86     22813 SH         DEFINED    1                            22813
                  shares
WILLIS GROUP      Common equity   G96666105   54620   1328640 SH         DEFINED    1,2,5,6,8,10,12,18         1328640
 HOLDINGS PLC     shares
FORD MOTOR        USA: Bond       345370CN    11363   6613000 SH         DEFINED    2                          6613000
 COMPANY
OCZ TECHNOLOGY    Common equity   67086E303    6581    822294 SH         DEFINED    1,2,6                       822294
 GROUP INC        shares
OMNIAMERICAN      Common equity   68216R107    2978    199418 SH         DEFINED    1,2                         199418
 BANCORP INC      shares
CHESAPEAKE        Common equity   165240102    9507    557459 SH         DEFINED    1,2,3,8                     557459
 LODGING TRUST    shares
SYMETRA           Common equity   87151Q106   15886   1182973 SH         DEFINED    1,2,6,8                    1182973
 FINANCIAL CORP   shares
MADISON SQUARE    Common equity   55826P100   19358    703169 SH         DEFINED    1,2,5,6,8                   703169
 GARDEN CO        shares
STERLITE INDS     USA: Bond       859737AB     3466   3400000 SH         DEFINED    2                          3400000
 INDIA LTD
 NOTE
 4.000%10/3
ATLANTIC POWER    Composition of  04878Q863   17782   1168300 SH         DEFINED    1,2,6                      1168300
 CORP             more than 1
                  security
CAMBIUM           Common equity   13201A107     727    215806 SH         DEFINED    1,2                         215806
 LEARNING         shares
 GROUP INC
NORTHWEST         Common equity   667340103   29541   2348368 SH         DEFINED    1,2,5,6,8,17               2348368
 BANCSHARES INC   shares
PILGRIM`S         Common equity   72147K108    4805    887788 SH         DEFINED    1,2,6                       887788
 PRIDE CORP       shares
FIBERTOWER CORP   Common Stock    31567R209      37     30810 SH         DEFINED    1                            30810
OCEAN SHORE       Common equity   67501R103     133     10991 SH         DEFINED    1                            10991
 HOLDING CO       shares
ENSCO PLC -ADR    Common equity   29358Q109   12921    413469 SH         DEFINED    1,2,5,6,8,19                 87198
                  shares
BIGLARI           Common equity   08986R101   14957     38250 SH         DEFINED    1,2,6,8                      38250
 HOLDINGS INC     shares
SYCAMORE          Common equity   871206405    8689    390785 SH         DEFINED    1,2,5,6,8                   390785
 NETWORKS INC     shares
TOWERS WATSON     Common equity   891894107   92874   1413393 SH         DEFINED    1,2,5,6,8,12               1413393
 & CO             shares
MF GLOBAL         Common equity   55277J108   26252   3391727 SH         DEFINED    1,2,5,6,8                  3391727
 HOLDINGS LTD     shares
DEX ONE CORP      Common equity   25212W100     149     59283 SH         DEFINED    1                            59283
                  shares
CARMIKE           Common equity   143436400      70     10200 SH         DEFINED    1                            10200
 CINEMAS INC      shares
COWEN GROUP INC   Common equity   223622101    5525   1468829 SH         DEFINED    1,2,8                      1468829
                  shares
TRANSWITCH CORP   Common equity   894065309      39     12649 SH         DEFINED    1                            12649
                  shares
NATIONAL GRID     Common equity   636274300     318      6439 SH         DEFINED    1                             6439
                  shares
CACI INTL INC     Common equity   127190304   47044    745837 SH         DEFINED    1,2,5,6,17,18               745837
 -CL A            shares
PEABODY ENERGY    Common equity   704549104  680730  11555549 SH         DEFINED    1,2,5,6,8,10,12,18        11555549
 CORP             shares
NOMURA            Common equity   65535H208     260     52770 SH         DEFINED    1,2                          52770
 HOLDINGS INC     shares
CHIQUITA          Common equity   170032809   13164   1011064 SH         DEFINED    1,2,5,6,8                  1011064
 BRANDS INTL      shares
 INC
CITIGROUP INC     USA: Bond       17296741    29623    247971 SH         DEFINED    2                           247971
NEWS CORP         Common equity   65248E203   48645   2690639 SH         DEFINED    1,2,5,8,10,12,18           2690639
                  shares
USA MOBILITY      Common equity   90341G103   10672    699391 SH         DEFINED    1,2,5,6,8                   699391
 INC              shares
ARMOUR            Common equity   042315101    8964   1219535 SH         DEFINED    1,2,8                      1219535
 RESIDENTIAL      shares
 REIT INC
IRONWOOD          Common equity   46333X108   13469    856907 SH         DEFINED    1,2,6,8                     856907
 PHARMACEUTICALS  shares
 INC
SOLAR CAPITAL     Common equity   83413U100   16024    649209 SH         DEFINED    1,2,8                       649209
 LTD              shares
BACTERIN INTL     Common equity   05644R101     631    221200 SH         DEFINED    1,2                         221200
 HOLDINGS INC     shares
PIEDMONT          Real Estate     720190206   79986   3922889 SH         DEFINED    1,2,3,5,6,8                3922889
 OFFICE REALTY    Investment
 TRUST            Trust
TERRENO REALTY    Real Estate     88146M101    2587    151914 SH         DEFINED    1,2                         151914
 CORP             Investment
                  Trust
GENERAC           Common equity   368736104    7502    386646 SH         DEFINED    1,2                         386646
 HOLDINGS INC     shares
GRAHAM            Common equity   384701108    9672    383305 SH         DEFINED    1,2,6,8                     383305
 PACKAGING CO     shares
 INC
QUINSTREET INC    Common equity   74874Q100    5593    430891 SH         DEFINED    1,2,6,8                     430891
                  shares
UNILIFE CORP      Common equity   90478E103    4654    898068 SH         DEFINED    1,2,6                       898068
                  shares
ANTHERA           Common equity   03674U102    1639    200690 SH         DEFINED    1,2                         200690
 PHARMACEUTCLS    shares
 INC
ACCURIDE CORP     Common equity   00439T206    8758    693200 SH         DEFINED    1,2                         693200
                  shares
BALTIC TRADING    Common equity   Y0553W103    1631    284488 SH         DEFINED    1,2                         284488
 LTD              shares
SENSATA           Common equity   N7902X106    2442     64852 SH         DEFINED    1,2,5,8                      64852
 TECHNOLOGIES     shares
 HLDG NV
AVEO              Common equity   053588109    8861    430002 SH         DEFINED    1,2,6                       430002
 PHARMACEUTICALS  shares
 INC
SEMGROUP CORP     Common equity   81663A105   20192    786651 SH         DEFINED    1,2,5,6,8                   786651
                  shares
FINANCIAL         Common equity   317485100   16392    632579 SH         DEFINED    1,2,6,8                     632579
 ENGINES INC      shares
CALIX INC         Common equity   13100M509   13538    650252 SH         DEFINED    1,2,6                       650252
                  shares
FIRST             Common equity   32055Y201    3006    204008 SH         DEFINED    1,2                         204008
 INTERSTATE       shares
 BANCSYSTEM
MAXLINEAR INC     Common equity   57776J100    1276    147830 SH         DEFINED    1,2,6                       147830
                  shares
MERU NETWORKS     Common equity   59047Q103    1228    102191 SH         DEFINED    1,2,6                       102191
 INC              shares
SS&C              Common equity   78467J100    9122    458819 SH         DEFINED    1,2,6,8                     458819
 TECHNOLOGIES     shares
 HLDGS INC
SCORPIO           Common equity   Y7542C106    2740    274176 SH         DEFINED    1,2                         274176
 TANKERS INC      shares
ANNALY CAPITAL    USA: Bond       035710AA     5580   4621000 SH         DEFINED    2                          4621000
 MGMT
VIRGIN MEDIA      An issue in     92769LAB7   13004   7236000 SH         DEFINED    2                          7236000
 INC 144A         any currency
                  issued on a
                  private basis
PRIMERICA INC     Preferred       74164M108   12939    588912 SH         DEFINED    1,2,5,6,8                   588912
                  equity shares
METALS USA        Common equity   59132A104    2821    189508 SH         DEFINED    1,2,6                       189508
 HOLDINGS CORP    shares
GOLUB CAPITAL     Common equity   38173M102    2350    157475 SH         DEFINED    1,2                         157475
 BDC INC          shares
CHATHAM           Real Estate     16208T102    3079    191157 SH         DEFINED    1,2                         191157
 LODGING TRUST    Investment
                  Trust
VIMPELCOM LTD     Common equity   92719A106   10573    828559 SH         DEFINED    1,2,6                       828559
                  shares
ALIMERA           Common equity   016259103     987    121237 SH         DEFINED    1,2                         121237
 SCIENCES INC     shares







                                                    SHS/PRN   SH/  PUT/                                        SOLE    SHARED   NO
ISSUER                  CLASS      CUSIP    VALUE     VAL     PRN  CALL  DISCRETION     MANAGERS              VOTING   VOTING VOTING
------------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CODEXIS INC       Common equity   192005106    3213    333579 SH         DEFINED    1,2,6                       333579
                  shares
DYNAVOX INC       Common equity   26817F104    1124    148014 SH         DEFINED    1,2                         148014
                  shares
GLOBAL            Common equity   37946S107    5045    283444 SH         DEFINED    1,2,6                       283444
 GEOPHYSICAL      shares
 SVCS INC
SPS COMMERCE      Common equity   78463M107    1416     79588 SH         DEFINED    1,2                          79588
 INC              shares
THL CREDIT INC    Closed end      872438106    1562    120051 SH         DEFINED    1,2,6                       120051
                  mutual fund
EXCEL TRUST INC   Real Estate     30068C109    2583    234077 SH         DEFINED    1,2                         234077
                  Investment
                  Trust
CONVIO INC        Common equity   21257W105    1040     96237 SH         DEFINED    1,2                          96237
                  shares
ALPHA AND         Common equity   G6331P104    2288    172754 SH         DEFINED    1,2                         172754
 OMEGA            shares
 SEMICONDUCTR
DRYSHIPS INC      USA: Bond       262498AB     4279   4726000 SH         DEFINED    2                          4726000
DOUGLAS           Common equity   25960R105    4864    308048 SH         DEFINED    1,2                         308048
 DYNAMICS INC     shares
SIX FLAGS         Common equity   83001A102   34348    917294 SH         DEFINED    1,2,6,8                     917294
 ENTERTAINMENT    shares
 CORP
EXPRESS INC       Common equity   30219E103   25889   1187503 SH         DEFINED    1,2,6,8,17                 1187503
                  shares
ROADRUNNER        Common equity   76973Q105    2441    161537 SH         DEFINED    1,2                         161537
 TRANS SVCS       shares
 HLDGS
TELENAV INC       Common equity   879455103    6233    351607 SH         DEFINED    1,2,6                       351607
                  shares
NORANDA           Common equity   65542W107    6083    401649 SH         DEFINED    1,2,8                       401649
 ALUMINUM         shares
 HOLDING CP
MPG OFFICE        Real Estate     553274101    2474    864226 SH         DEFINED    1,2,6                       864226
 TRUST INC        Investment
                  Trust
SPANSION INC      Common equity   84649R200   17603    913399 SH         DEFINED    1,2,6,8                     913399
                  shares
ACCRETIVE         Common equity   00438V103   20110    698483 SH         DEFINED    1,2,6,8                     698483
 HEALTH INC       shares
REACHLOCAL INC    Common equity   75525F104    1843     88645 SH         DEFINED    1,2,6                        88645
                  shares
FIRST AMERICAN    Common equity   31847R102   56586   3615766 SH         DEFINED    1,2,5,6,8,10,12            3615766
 FINANCIAL CP     shares
FURIEX            Common Stock    36106P101    3497    196729 SH         DEFINED    1,2,5,6                     196729
 PHARMACEUTICALS
 INC
CBOE HOLDINGS     Common equity   12503M108   10987    446581 SH         DEFINED    1,2,5,6,8                   446581
 INC              shares
BROADSOFT INC     Common equity   11133B409   14385    377186 SH         DEFINED    1,2,6,8                     377186
                  shares
QEP RESOURCES     Common equity   74733V100  313172   7486639 SH         DEFINED    1,2,5,6,8,10,12,18         7486639
 INC              shares
HIGHER ONE        Common equity   42983D104    9685    511864 SH         DEFINED    1,2,6,8                     511864
 HOLDINGS INC     shares
OASIS             Common equity   674215108   40825   1375419 SH         DEFINED    1,2,6,8                    1375419
 PETROLEUM INC    shares
MOTRICITY INC     Common equity   620107102    4059    525093 SH         DEFINED    1,2,6                       525093
                  shares
VISHAY            Common equity   92835K103    4781    283209 SH         DEFINED    1,2,5,6,8                   283209
 PRECISION        shares
 GROUP INC
HUDSON PACIFIC    Common equity   444097109    4790    308404 SH         DEFINED    1,2                         308404
 PPTYS INC        shares
FABRINET          Common equity   G3323L100    7788    320731 SH         DEFINED    1,2,6                       320731
                  shares
TESLA MOTORS      Common equity   88160R101   12171    417925 SH         DEFINED    1,2,5,6,8                   417925
 INC              shares
GOLDCORP INC      USA: Bond       380956AB8    7894   6236000 SH         DEFINED    2                          6236000
 144A
HARTFORD FINL     USA: Bond       416515708    4434    171200 SH         DEFINED    2                           171200
 SVCS GRP
MYLAN INC 144A    USA: Bond       628530AJ6    9866   4980000 SH         DEFINED    2                          4980000
PPL CORPORATION   USA: Bond       69351T601    9681    172474 SH         DEFINED    2                           172474
SBA               Common equity   78388JAM8    5067   3587000 SH         DEFINED    2                          3587000
 COMMUNICATIONS   shares
 CORP 144A
QUAD/GRAPHICS     Common equity   747301109   17383    447375 SH         DEFINED    1,2                         447375
 INC              shares
BABCOCK &         Common equity   05615F102   47242   1704898 SH         DEFINED    1,2,5,6,8,10,12            1704898
 WILCOX CO        shares
QLIK              Common equity   74733T105   45138   1325280 SH         DEFINED    1,2,6,8                    1325280
 TECHNOLOGIES     shares
 INC
REALD INC         Common equity   75604L105   15056    643709 SH         DEFINED    1,2,6,8                     643709
                  shares
CAMELOT INFO      American        13322V105     254     16980 SH         DEFINED    2                            16980
 SYSTEMS          Depository
 INC-ADR          Receipt
AMERESCO INC      Common equity   02361E108    3252    229238 SH         DEFINED    1,2,6                       229238
                  shares
GREEN DOT CORP    Common equity   39304D102    4884    143766 SH         DEFINED    1,2,6,8                     143766
                  shares
LYONDELLBASELL    Common equity   N53745100  182745   4744198 SH         DEFINED    1,2,5,6,8,10,12,18         4744198
 INDUSTRIES NV    shares
ENVESTNET INC     Common equity   29404K106    3712    250067 SH         DEFINED    1,2,6                       250067
                  shares
MOLYCORP INC      Common equity   608753109   68197   1116933 SH         DEFINED    1,2,5,6,8                  1116933
                  shares
TRIUS             Common equity   89685K100     535     67400 SH         DEFINED    1                            67400
 THERAPEUTICS     shares
 INC
GORDMANS          Common equity   38269P100    1216     70082 SH         DEFINED    1,2                          70082
 STORES INC       shares
INTRALINKS        Common equity   46118H104    9525    551225 SH         DEFINED    1,2,6,8                     551225
 HOLDINGS INC     shares
MEDIAMIND         Common equity   58449C100    1890     86171 SH         DEFINED    1,2,6                        86171
 TECHNOLOGIES     shares
 INC
REALPAGE INC      Common equity   75606N109   13079    494093 SH         DEFINED    1,2,6,8                     494093
                  shares
WHITESTONE REIT   Real Estate     966084204    1088     85300 SH         DEFINED    1,2                          85300
                  Investment
                  Trust
SPDR S&P          Exchange        78463X541   31689    530557 SH         DEFINED    2                           530557
 GLOBAL           Traded Product
 NATURAL
 RESOURCES ETF
CORESITE          Real Estate     21870Q105    5132    312881 SH         DEFINED    1,2,6,8                     312881
 REALTY CORP      Investment
                  Trust
SCIQUEST INC      Common equity   80908T101    2692    157500 SH         DEFINED    1,2                         157500
                  shares
VISTEON CORP      Common equity   92839U206   35956    525597 SH         DEFINED    1,2,5,6,8,17                522447          3150
                  shares
AMYRIS INC        Common equity   03236M101    8287    295027 SH         DEFINED    1,2,6,8                     295027
                  shares
CAMPUS CREST      Real Estate     13466Y105    7840    605868 SH         DEFINED    1,2,3,8                     605868
 COMMUNITIES      Investment
 INC              Trust
KEYW HOLDING      Common equity   493723100    2811    226900 SH         DEFINED    1,2,6                       226900
 CORP             shares
SANDISK CORP      Common equity   80004CAD     8455   7944000 SH         DEFINED    2                          7944000
                  shares
ANGLOGOLD HLDGS   USA: Bond       03512Q20     5359    108112 SH         DEFINED    2                           108112
BODY CENTRAL      Common equity   09689U102    3990    169506 SH         DEFINED    1,2,6                       169506
 CORP             shares
TOWER             Common equity   891826109    1513     85500 SH         DEFINED    1,2                          85500
 INTERNATIONAL    shares
 INC
NETSPEND          Common equity   64118V106    5741    574051 SH         DEFINED    1,2,6                       574051
 HOLDINGS INC     shares
BRAVO BRIO        Common equity   10567B109    7410    303300 SH         DEFINED    1,2,6                       303300
 RESTAURANT GP    shares
 INC
VERA BRADLEY      Common equity   92335C106   12805    335200 SH         DEFINED    1,2,6,8                     335200
 INC              shares
AEGERION          Common equity   00767E102    1417     90025 SH         DEFINED    1,2                          90025
 PHARMACEUTICALS  shares
 INC
CHEMTURA CORP     Common equity   163893209   32739   1798974 SH         DEFINED    1,2,6,8                    1798974
                  shares
PACIFIC           Common equity   69404D108    6367    544300 SH         DEFINED    1,2,6                       544300
 BIOSCIENCES      shares
 OF CALIF
EXAMWORKS         Common equity   30066A105   11004    433461 SH         DEFINED    1,2,6                       433461
 GROUP INC        shares
SEACUBE           Common equity   G79978105    3358    195505 SH         DEFINED    1,2                         195505
 CONTAINER        shares
 LEASING
FRESH MARKET      Common equity   35804H106   24891    643502 SH         DEFINED    1,2,6,8                     643502
 INC              shares
HOWARD HUGHES     Common equity   44267D107   22146    340435 SH         DEFINED    1,2,5,6,8                   340435
 CORP             shares
PRIMO WATER       Common equity   74165N105    2097    145700 SH         DEFINED    1,2                         145700
 CORP             shares
SABRA HEALTH      Common equity   78573L106    7938    475241 SH         DEFINED    1,2,5,6,8                   475241
 CARE REIT INC    shares
SUN HEALTHCARE    Common equity   86677E100    3742    466689 SH         DEFINED    1,2,5,6,8                   466689
 GROUP INC        shares
COMPLETE          Common equity   20454K104    1602    104900 SH         DEFINED    1,2                         104900
 GENOMICS INC     shares
INPHI CORP        Common equity   45772F107    5329    306213 SH         DEFINED    1,2,6                       306213
                  shares
BOOZ ALLEN        Common equity   099502106    4333    226867 SH         DEFINED    1,2                         226867
 HAMILTON HLDG    shares
 CP
GENERAL MOTORS    Common equity   37045V100  349883  11524451 SH         DEFINED    1,2,5,6,8,10,12,18        11524451
 CO               shares
LPL INVESTMENT    Common equity   50213H100    8783    256784 SH         DEFINED    1,2,5,6,8                   256784
 HOLDINGS INC     shares
AEROFLEX          Common equity   007767106    5669    312300 SH         DEFINED    1,2                         312300
 HOLDING CORP     shares
ZOGENIX INC       Common equity   98978L105     412    102500 SH         DEFINED    1                           102500
                  shares
ANACOR            Common equity   032420101    1124    173900 SH         DEFINED    1,2                         173900
 PHARMACEUTICALS  shares
 INC
APACHE CORP       USA: Bond       037411808   11767    178500 SH         DEFINED    2                           178500
GENERAL MOTORS    USA: Bond       37045V209   36047    743227 SH         DEFINED    2                           743227
STANLEY BLACK     USA: Bond       854502309    6139     51132 SH         DEFINED    2                            51132
 & DECKER I
FXCM INC          Common equity   302693106    3153    317807 SH         DEFINED    1,2                         317807
                  shares
TARGA             Common equity   87612G101   12201    364720 SH         DEFINED    1,2,5,8                     364720
 RESOURCES CORP   shares
FIRST REPUBLIC    Investments     33616C100   22186    687361 SH         DEFINED    1,2,5,6,17                  687361
 BANK             that contain a
                  pool of
                  securities
                  representing a
                  specific
                  index  and are
                  built like mutu
ABITIBIBOWATER    Common equity   003687209   18177   1711260 SH         DEFINED    1,2,8,19                    154662
 INC              shares
FLEETCOR          Common equity   339041105    3071    103461 SH         DEFINED    1,2,6,8                     103461
 TECHNOLOGIES     shares
 INC
GAIN CAPITAL      Common equity   36268W100     728    106900 SH         DEFINED    1,2                         106900
 HOLDINGS INC     shares
RIGNET INC        Common equity   766582100    1325     77900 SH         DEFINED    1,2                          77900
                  shares
WALKER &          Common equity   93148P102    1946    146303 SH         DEFINED    1,2                         146303
 DUNLOP INC       shares
QAD INC           Common equity   74727D306    1342    131447 SH         DEFINED    1,2                         131447
                  shares
SWIFT             Common equity   87074U101   19734   1456774 SH         DEFINED    1,2,6,8                    1456774
 TRANSPORTATION   shares
 CO
FORTEGRA          Closed end      34954W104     379     48300 SH         DEFINED    1,2                          48300
 FINANCIAL CORP   mutual fund
MOTOROLA          Common equity   620097105  230424  10455214 SH         DEFINED    1,2,5,6,8,10,12,18        10455214
 MOBILITY         shares
 HLDGS INC
AMERICAN          Real Estate     024013104   14497    645659 SH         DEFINED    1,2,3,6,8                   645659
 ASSETS TRUST     Investment
 INC              Trust
MEDLEY CAPITAL    Common equity   58503F106    1522    129644 SH         DEFINED    1,2                         129644
 CORP             shares
FAIRPOINT         Common equity   305560302    2531    274600 SH         DEFINED    1,2                         274600
 COMMUNICATIONS   shares
 INC
DEMAND MEDIA      Miscellaneous   24802N109    1381    101832 SH         DEFINED    1,2                         101832
 INC
NIELSEN           Common equity   N63218106   36576   1173835 SH         DEFINED    1,2,5,6,8,10,12,18         1173835
 HOLDINGS NV      shares
BANKUNITED INC    Common equity   06652K103    7159    269750 SH         DEFINED    1,2,6,8                     269750
                  shares
EPOCRATES INC     Common equity   29429D103    1269     68726 SH         DEFINED    1,2                          68726
                  shares
NEOPHOTONICS      Common equity   64051T100     733    105683 SH         DEFINED    1,2                         105683
 CORP             shares
PACIRA            Common equity   695127100     592     49300 SH         DEFINED    1,2                          49300
 PHARMACEUTICALS  shares
 INC
TORNIER NV        Common Stock    N87237108    3729    138300 SH         DEFINED    1,2                         138300
BG MEDICINE INC   Common equity   08861T107     223     28100 SH         DEFINED    1                            28100
                  shares
ENDOCYTE INC      Common equity   29269A102    2872    200550 SH         DEFINED    1,2                         200550
                  shares
MEDQUIST          Common equity   58506K102    6311    488500 SH         DEFINED    1,2                         488500
 HOLDINGS INC     shares
IMPERIAL          Common equity   452834104    3017    297097 SH         DEFINED    1,2                         297097
 HOLDINGS INC     shares
GEVO INC          Common equity   374396109     774     49313 SH         DEFINED    1,2                          49313
                  shares
SUMMIT HOTEL      Common equity   866082100    4512    397557 SH         DEFINED    1,2,6                       397557
 PROPERTIES INC   shares
FLUIDIGM CORP     Common equity   34385P108     968     57846 SH         DEFINED    1,2                          57846
                  shares
KINDER MORGAN     Common equity   49456B101   63779   2220042 SH         DEFINED    1,2,5,6,8,10,12,18         2220042
 INC              shares
SOLAR SENIOR      Common equity   83416M105    1967    109658 SH         DEFINED    1,2                         109658
 CAPITAL LTD      shares
HCA HOLDINGS      Common equity   40412C101   72347   2192159 SH         DEFINED    1,2,5,8,10,12,18           2192159
 INC              shares
CORNERSTONE       Common equity   21925Y103    2606    147600 SH         DEFINED    1,2                         147600
 ONDEMAND INC     shares
HUNTINGTON        Common equity   446413106  169024   4957761 SH         DEFINED    1,2,5,6,8,10,12,18,19      4846354
 INGALLS IND      shares
 INC
SERVICESOURCE     Common equity   81763U100    2882    129600 SH         DEFINED    1,2                         129600
 INTL INC         shares
GNC HOLDINGS      Common equity   36191G107    8416    385900 SH         DEFINED    1,2                         385900
 INC              shares
TMS               Common equity   87261Q103    2066    158200 SH         DEFINED    1,2                         158200
 INTERNATIONAL    shares
 CORP
ZIPCAR INC        Common equity   98974X103    2576    126300 SH         DEFINED    1,2                         126300
                  shares
ELLIE MAE INC     Common equity   28849P100     499     86900 SH         DEFINED    1                            86900
                  shares
STAG              Real Estate     85254J102    2454    200300 SH         DEFINED    1,2                         200300
 INDUSTRIAL INC   Investment
                  Trust
AIR LEASE CORP    Common equity   00912X302    6714    276402 SH         DEFINED    1,2                         276402
                  shares
SAGENT            Common equity   786692103    2272     84300 SH         DEFINED    1,2                          84300
 PHARMACEUTICALS  shares
 INC
RESPONSYS INC     Common equity   761248103    2143    121000 SH         DEFINED    1,2                         121000
                  shares
FRANKLIN          Common equity   35353C102    2137    177000 SH         DEFINED    1,2                         177000
 FINANCIAL        shares
 CORP/VA
BOINGO            Common equity   09739C102     500     55000 SH         DEFINED    1                            55000
 WIRELESS INC     shares
RPX CORP          Common equity   74972G103    3821    136300 SH         DEFINED    1,2                         136300
                  shares
THERMON GROUP     Common equity   88362T103    1365    113600 SH         DEFINED    1,2                         113600
 HOLDINGS INC     shares
FRIENDFINDER      Common equity   358453306      70     17400 SH         DEFINED    1                            17400
 NETWORKS INC     shares
RLJ LODGING       Common equity   74965L101    8110    466900 SH         DEFINED    1,2,6                       466900
 TRUST            shares
KOSMOS ENERGY     Common Stock    G5315B107    3479    204938 SH         DEFINED    1                           204938
 LTD
LINKEDIN CORP     Common equity   53578A108    6828     75810 SH         DEFINED    1,2                          75810
                  shares
NEW MOUNTAIN      Common equity   647551100     970     76300 SH         DEFINED    1,2                          76300
 FINANCE CORP     shares
YANDEX NV         Common equity   N97284108    1871     52700 SH         DEFINED    4,5,18                       52700
                  shares
OCCIDENTAL PET    Option          674599105     293      3800 SH  OPTION DEFINED    18                            3800
 CORP EQUITY
 OPTION
HESS CORP         Option          42809H107     317      6300 SH  OPTION DEFINED    18                            6300
 EQUITY OPTION
ACTIVE NETWORK    Common Stock    00506D100    2685    152500 SH         DEFINED    1,2                         152500
 INC
SPIRIT            Common equity   848577102    2259    188400 SH         DEFINED    1,2                         188400
 AIRLINES INC     shares
FREESCALE         Common Stock    G3727Q101    5677    308630 SH         DEFINED    1,2                         308630
 SMCNDCTR HLD
 I LTD
SOLAZYME INC      Common Stock    83415T101    3061    133200 SH         DEFINED    1,2                         133200
TOTAL MARKET
VALUE:606878413