[X]
|
ANNUAL REPORT PURSUANT TO SECTION 15(d)
|
OF THE SECURITIES EXCHANGE ACT OF 1934
|
[ ]
|
TRANSITION REPORT PURSUANT TO SECTION 15(d)
|
OF THE SECURITIES EXCHANGE ACT OF 1934
|
TABLE OF CONTENTS
|
Page
|
|
Signatures
|
2
|
|
Report of Independent Registered Public Accounting Firm
|
3
|
|
Financial Statements
|
||
Statements of Net Assets Available for Benefits
|
4
|
|
Statements of Changes in Net Assets Available for Benefits
|
5
|
|
Notes to Financial Statements
|
6-17
|
|
Supplemental Schedules
|
||
Schedule of Assets (Held at End of Year)
|
18-43
|
|
Schedule of Assets Acquired and Disposed
|
44
|
|
Schedule of Nonexempt Transaction
|
45
|
|
Exhibits
|
||
Exhibit Index
|
46
|
|
Consent of Independent Registered Public Accounting Firm
|
47
|
|
2010
|
2009
|
|||||||
ASSETS
|
||||||||
Investments at Fair Value:
|
||||||||
Participant Directed Investments
|
$ | 2,917,981,958 | $ | 2,914,481,843 | ||||
Wrap Contracts
|
914,421 | 1,332,221 | ||||||
NET ASSETS REFLECTING INVESTMENTS AT FAIR VALUE
|
2,918,896,379 | 2,915,814,064 | ||||||
Notes Receivable From Participants
|
70,565,226 | 66,455,396 | ||||||
TOTAL ASSETS
|
2,989,461,605 | 2,982,269,460 | ||||||
Adjustment from Fair Value to Contract Value for Fully Benefit Responsive Wrap Contracts
|
8,599,095 | 49,132,012 | ||||||
NET ASSETS AVAILABLE FOR BENEFITS
|
$ | 2,998,060,700 | $ | 3,031,401,472 | ||||
See Notes to Financial Statements.
|
2010
|
2009
|
|||||||
INVESTMENT INCOME
|
||||||||
Net Appreciation in Fair Value of Investments
|
$ | 231,557,259 | $ | 349,619,288 | ||||
Interest
|
18,129,952 | 28,017,910 | ||||||
Dividends
|
18,536,936 | 17,454,018 | ||||||
Total Investment Income
|
268,224,147 | 395,091,216 | ||||||
CONTRIBUTIONS
|
||||||||
Participant
|
142,666,064 | 165,891,106 | ||||||
Employer
|
60,126,040 | 72,023,354 | ||||||
Total Contributions
|
202,792,104 | 237,914,460 | ||||||
DISTRIBUTIONS TO PARTICIPANTS
|
(501,610,461 | ) | (148,134,967 | ) | ||||
ADMINISTRATIVE AND MANAGEMENT FEES
|
||||||||
Professional Fees
|
(864,937 | ) | (779,070 | ) | ||||
Investment Advisory and Management Fees
|
(5,282,011 | ) | (4,770,852 | ) | ||||
Other Fees
|
(564,371 | ) | (476,268 | ) | ||||
Total Administrative and Management Fees
|
(6,711,319 | ) | (6,026,190 | ) | ||||
INTEREST INCOME ON NOTES RECEIVABLE FROM
PARTICIPANTS
|
3,964,757 | 4,414,126 | ||||||
INCREASE (DECREASE) IN NET ASSETS
|
(33,340,772 | ) | 483,258,645 | |||||
NET ASSETS AVAILABLE FOR BENEFITS BEGINNING OF YEAR
|
3,031,401,472 | 2,548,142,827 | ||||||
NET ASSETS AVAILABLE FOR BENEFITS END OF YEAR
|
$ | 2,998,060,700 | $ | 3,031,401,472 | ||||
See Notes to Financial Statements.
|
1.
|
PLAN DESCRIPTION
|
2.
|
ACCOUNTING POLICIES AND NEW ACCOUNTING PRONOUNCEMENTS
|
Type of Fixed Income Security
|
||||||
Government
|
Corporate
|
Mortgage Backed
|
||||
Type of Input
|
Bonds
|
Debt
|
Securities
|
|||
Benchmark Yields
|
X
|
X
|
X
|
|||
Broker Quotes
|
X
|
X
|
X
|
|||
Discount Margins
|
X
|
X
|
||||
Treasury Market Update
|
X
|
|||||
Base Spread
|
X
|
X
|
X
|
|||
Corporate Actions
|
X
|
|||||
Ratings Agency Updates
|
X
|
X
|
||||
Prepayment Schedule and History
|
X
|
|||||
Yield Adjustments
|
X
|
3.
|
PLAN TERMINATION
|
4.
|
INVESTMENT CONTRACTS
|
5.
|
INVESTMENTS EXCEEDING FIVE PERCENT OF NET PLAN NET ASSETS
|
December 31,
|
||||||
2010
|
2009
|
|||||
American Electric Power Company, Inc. Common Stock
|
$
|
273,754,334
|
$
|
290,349,477
|
||
Mellon Capital Aggregate Bond Index Fund
|
334,693,511
|
320,369,946
|
||||
Mellon Capital Stock Index Fund
|
414,525,878
|
384,825,849
|
||||
Mellon Capital International Stock Index Fund
|
268,420,947
|
243,903,092
|
||||
JPMorgan Intermediate Bond Fund
|
738,889,267
|
803,613,204
|
6.
|
NET APPRECIATION OF INVESTMENTS
|
Years Ended December 31,
|
||||||
2010
|
2009
|
|||||
American Electric Power Company, Inc. - Common Stock
|
$
|
8,111,709
|
$
|
15,124,119
|
||
Common/Collective Trusts
|
141,492,712
|
198,567,573
|
||||
Corporate Stock
|
80,920,308
|
133,656,423
|
||||
Fixed Income Securities
|
1,162,278
|
2,198,623
|
||||
Registered Investment Companies
|
(129,748)
|
(109,564)
|
||||
Other
|
-
|
182,114
|
||||
Net Appreciation in Fair Value of Investments
|
$
|
231,557,259
|
$
|
349,619,288
|
7.
|
PARTY-IN-INTEREST TRANSACTIONS
|
8.
|
FAIR VALUE MEASUREMENTS
|
Fair Value Measurements at December 31, 2010
|
||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||
Equities
|
||||||||||||
Corporate Stock – Domestic
|
$
|
494,298,612
|
$
|
-
|
$
|
-
|
$
|
494,298,612
|
||||
AEP Stock
|
273,754,334
|
-
|
-
|
273,754,334
|
||||||||
Subtotal Equities
|
768,052,946
|
-
|
-
|
768,052,946
|
||||||||
Fixed Income
|
||||||||||||
Government Bonds
|
-
|
5,737,733
|
-
|
5,737,733
|
||||||||
Corporate Debt Securities
|
-
|
11,877,637
|
-
|
11,877,637
|
||||||||
Mortgage Backed Securities
|
-
|
15,466,473
|
-
|
15,466,473
|
||||||||
Subtotal Fixed Income
|
-
|
33,081,843
|
-
|
33,081,843
|
||||||||
Common/Collective Trusts
|
||||||||||||
JPMorgan Liquidity Fund
|
-
|
24,945,975
|
-
|
24,945,975
|
||||||||
Mellon Capital Small Cap Stock Index Fund
|
-
|
147,688,138
|
-
|
147,688,138
|
||||||||
Mellon Capital Stock Index Fund
|
-
|
414,525,878
|
-
|
414,525,878
|
||||||||
Mellon Capital International Stock Index Fund
|
-
|
268,420,947
|
-
|
268,420,947
|
||||||||
Alliance Bernstein International Style Blend
|
-
|
63,365,492
|
-
|
63,365,492
|
||||||||
JPMorgan US Real Estate Securities Fund
|
-
|
8,462,572
|
-
|
8,462,572
|
||||||||
JPMorgan Intermediate Bond Fund
|
738,889,267
|
738,889,267
|
||||||||||
Mellon Capital Aggregate Bond Index Fund
|
-
|
334,693,511
|
-
|
334,693,511
|
||||||||
Mellon Capital Treasury Inflation-Protected
Securities Fund
|
-
|
7,671,177
|
-
|
7,671,177
|
||||||||
JPMorgan Strategic Property Fund
|
-
|
-
|
29,191,929
|
29,191,929
|
||||||||
JPMorgan Emerging Markets Fund
|
-
|
-
|
14,787,949
|
14,787,949
|
||||||||
Subtotal Common/Collective Trusts
|
-
|
2,008,662,957
|
43,979,878
|
2,052,642,835
|
||||||||
Registered Investment Companies
|
45,663,725
|
-
|
-
|
45,663,725
|
||||||||
Cash Equivalents
|
-
|
18,561,465
|
-
|
18,561,465
|
||||||||
Wrap Contracts
|
-
|
-
|
914,421
|
914,421
|
||||||||
Accrued Items and Unsettled Trades
|
(7,125)
|
(13,731)
|
-
|
(20,856)
|
||||||||
Total
|
$
|
813,709,546
|
$
|
2,060,292,534
|
$
|
44,894,299
|
$
|
2,918,896,379
|
Fair Value Measurements at December 31, 2009
|
||||||||||||
Level 1
|
Level 2
|
Level 3
|
Total
|
|||||||||
Equities
|
||||||||||||
Corporate Stock – Domestic
|
$
|
471,790,974
|
$
|
-
|
$
|
-
|
$
|
471,790,974
|
||||
AEP Stock
|
292,902,705
|
-
|
-
|
292,902,705
|
||||||||
Subtotal Equities
|
764,693,679
|
-
|
-
|
764,693,679
|
||||||||
Fixed Income
|
||||||||||||
Government Bonds
|
-
|
17,891,351
|
-
|
17,891,351
|
||||||||
Corporate Debt Securities
|
-
|
7,778,197
|
-
|
7,778,197
|
||||||||
Mortgage Backed Securities
|
-
|
22,055,886
|
-
|
22,055,886
|
||||||||
Subtotal Fixed Income
|
-
|
47,725,434
|
-
|
47,725,434
|
||||||||
Common/Collective Trusts
|
||||||||||||
JPMorgan Liquidity Fund
|
-
|
10,075,323
|
-
|
10,075,323
|
||||||||
Mellon Capital Small Cap Stock Index Fund
|
-
|
120,246,768
|
-
|
120,246,768
|
||||||||
Mellon Capital Stock Index Fund
|
-
|
384,825,849
|
-
|
384,825,849
|
||||||||
Mellon Capital International Stock Index Fund
|
-
|
243,903,092
|
-
|
243,903,092
|
||||||||
Alliance Bernstein International Style Blend
|
-
|
70,450,436
|
-
|
70,450,436
|
||||||||
JPMorgan US Real Estate Securities Fund
|
-
|
13,030,934
|
-
|
13,030,934
|
||||||||
Mellon Capital Aggregate Bond Index Fund
|
-
|
320,369,946
|
-
|
320,369,946
|
||||||||
JPMorgan Strategic Property Fund
|
-
|
-
|
20,401,736
|
20,401,736
|
||||||||
JPMorgan Emerging Markets Fund
|
-
|
-
|
13,745,305
|
13,745,305
|
||||||||
Subtotal Common/Collective Trusts
|
-
|
1,162,902,348
|
34,147,041
|
1,197,049,389
|
||||||||
Registered Investment Companies
|
47,703,075
|
-
|
-
|
47,703,075
|
||||||||
Cash Equivalents
|
-
|
11,546,014
|
-
|
11,546,014
|
||||||||
Managed Income Fund
|
-
|
836,434,950
|
-
|
836,434,950
|
||||||||
Wrap Contracts
|
-
|
-
|
1,332,221
|
1,332,221
|
||||||||
Accrued Items and Unsettled Trades
|
2,923,100
|
6,406,202
|
-
|
9,329,302
|
||||||||
Total
|
$
|
815,319,854
|
$
|
2,065,014,948
|
$
|
35,479,262
|
$
|
2,915,814,064
|
Fair Value Estimated Using Net Asset Value per Share as of December 31, 2010
|
|||||||
Fair Value
|
Redemption Frequency
(If currently eligible)
|
Redemption Notice Period
|
|||||
JPMorgan Liquidity Fund
|
$
|
24,945,975
|
Daily
|
1 Day
|
|||
Mellon Capital Small Cap Stock Index Fund
|
147,688,138
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Stock Index Fund
|
414,525,878
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital International Stock Index Fund
|
268,420,947
|
Daily
|
Trade Date + 1
|
||||
Alliance Bernstein International Style Blend
|
63,365,492
|
Daily
|
1-30 Days
|
||||
JPMorgan US Real Estate Securities Fund
|
8,462,572
|
Daily
|
1 Day
|
||||
JPMorgan Intermediate Bond Fund
|
738,889,267
|
Daily
|
1 Day
|
||||
Mellon Capital Aggregate Bond Index Fund
|
334,693,511
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Treasury Inflation-Protected
Securities Fund
|
7,671,177
|
Daily
|
Trade Date + 1
|
||||
JPMorgan Strategic Property Fund
|
29,191,929
|
Quarterly
|
45 Days
|
||||
JPMorgan Emerging Markets Fund
|
14,787,949
|
Daily
|
1 Day
|
||||
Total Assets
|
$
|
2,052,642,835
|
Fair Value Estimated Using Net Asset Value per Share as of December 31, 2009
|
|||||||
Fair Value
|
Redemption Frequency
(If currently eligible)
|
Redemption Notice Period
|
|||||
JPMorgan Liquidity Fund
|
$
|
10,075,323
|
Daily
|
1 Day
|
|||
Mellon Capital Small Cap Stock Index Fund
|
120,246,768
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital Stock Index Fund
|
384,825,849
|
Daily
|
Trade Date + 1
|
||||
Mellon Capital International Stock Index Fund
|
243,903,092
|
Daily
|
Trade Date + 1
|
||||
Alliance Bernstein International Style Blend
|
70,450,436
|
Daily
|
1-30 Days
|
||||
JPMorgan US Real Estate Securities Fund
|
13,030,934
|
Daily
|
1 Day
|
||||
Mellon Capital Aggregate Bond Index Fund
|
320,369,946
|
Daily
|
Trade Date + 1
|
||||
JPMorgan Strategic Property Fund
|
20,401,735
|
Daily
|
45 Days
|
||||
JPMorgan Emerging Markets Fund
|
13,745,306
|
Daily
|
1 Day
|
||||
Managed Income Fund
|
836,434,950
|
Daily
|
1 Day
|
||||
Total Assets
|
$
|
2,033,484,339
|
Changes in Fair Value Measurements for the Year Ended December 31, 2010
|
|||||||||||||
Strategic
Property
Fund
|
Emerging
Markets
Fund
|
Wrap
Contracts
|
Total
|
||||||||||
Balance at Beginning of Year
|
$
|
20,401,736
|
$
|
13,745,305
|
$
|
1,332,221
|
$
|
35,479,262
|
|||||
Realized Gains (Losses)
|
(663,773)
|
633,758
|
-
|
(30,015)
|
|||||||||
Unrealized Gains (Losses)
|
12,716,400
|
(938,904)
|
(417,800)
|
11,359,696
|
|||||||||
Purchases, Sales, Issuances, and Settlements (Net)
|
(3,262,434)
|
1,347,790
|
-
|
(1,914,644)
|
|||||||||
Balance at End of Year
|
$
|
29,191,929
|
$
|
14,787,949
|
$
|
914,421
|
$
|
44,894,299
|
Changes in Fair Value Measurements for the Year Ended December 31, 2009
|
|||||||||||||
Strategic
Property
Fund
|
Emerging
Markets
Fund
|
Wrap
Contracts
|
Total
|
||||||||||
Balance at Beginning of Year
|
$
|
31,212,837
|
$
|
8,764,187
|
$
|
1,712,868
|
$
|
41,689,892
|
|||||
Realized Gains (Losses)
|
(846,000)
|
319,435
|
-
|
(526,565)
|
|||||||||
Unrealized Gains (Losses)
|
(7,507,188)
|
6,662,133
|
(380,647)
|
(1,225,702)
|
|||||||||
Purchases, Sales, Issuances, and Settlements (Net)
|
(2,457,913)
|
(2,000,450)
|
-
|
(4,458,363)
|
|||||||||
Balance at End of Year
|
$
|
20,401,736
|
$
|
13,745,305
|
$
|
1,332,221
|
$
|
35,479,262
|
9.
|
RISK AND UNCERTAINITIES
|
10.
|
FEDERAL INCOME TAX
|
January 1,
|
||||||
Participant Loans – Schedule H, Part I, line 1c(8), Column (a)
|
2010
|
2009
|
||||
Beginning Balance per Financial Statements
|
$
|
66,455,396
|
$
|
60,521,812
|
||
Less: Loans Deemed Distributed with No Post-Default Payments
|
(766,983)
|
(510,538)
|
||||
Balance Reported on Form 5500
|
$
|
65,688,413
|
$
|
60,011,274
|
December 31,
|
||||||
Participant Loans – Schedule H, Part I, line 1c(8), Column (b)
|
2010
|
2009
|
||||
Ending Balance per Financial Statements
|
$
|
70,565,226
|
$
|
66,455,396
|
||
Less: Assets and Activity Related to Loans Deemed Distributed with No Payments Post-Default
|
(1,474,224)
|
(766,983)
|
||||
Balance Reported on Form 5500
|
$
|
69,091,002
|
$
|
65,688,413
|
January 1,
|
||||||
Net Assets – Schedule H, Part I, Line 1l, Column (a)
|
2010
|
2009
|
||||
Beginning Balance per Financial Statements
|
$
|
3,031,401,472
|
$
|
2,548,142,827
|
||
Less: Loans Deemed Distributed with No Post-Default Payments
|
(766,983)
|
(510,538)
|
||||
Less: Adjustment from Contract Value to Fair Value
|
(49,132,012)
|
(106,018,835)
|
||||
Beginning Balance Reported on Form 5500
|
$
|
2,981,502,477
|
$
|
2,441,613,454
|
December 31,
|
||||||
Net Assets – Schedule H, Part I, Line 1l, Column (b)
|
2010
|
2009
|
||||
Ending Balance per Financial Statements
|
$
|
2,998,060,700
|
$
|
3,031,401,472
|
||
Less: Adjustment from Contract Value to Fair Value
|
(8,599,095)
|
(49,132,012)
|
||||
Less: Assets and Activity Related to Loans Deemed Distributed with No Payments Post-Default
|
(1,474,224)
|
(766,983)
|
||||
Balance Reported on Form 5500
|
$
|
2,987,987,381
|
$
|
2,981,502,477
|
December 31,
|
||||||
Increase (Decrease) in Net Assets – Schedule H, Part II, Line 2k
|
2010
|
2009
|
||||
Balance per Financial Statements
|
$
|
(33,340,772)
|
$
|
483,258,645
|
||
Less: Loans Deemed Distributed
|
(707,241)
|
(256,445)
|
||||
Less: Adjustment from Contract Value to Fair Value
|
40,532,917
|
56,886,823
|
||||
Balance Reported on Form 5500
|
$
|
6,484,904
|
$
|
539,889,023
|
SCHEDULE OF ASSETS (HELD AT END OF YEAR)
|
||||
INVESTMENT CONTRACTS:
|
||||
Stable Value Wrap
|
$ | 457,552 | ||
Bank of America
|
||||
variable annual yield (2.00% at December 31, 2010)
|
||||
with an indeterminate maturity date
|
||||
Stable Value Wrap
|
- | |||
ING
|
||||
variable annual yield (2.00% at December 31, 2010)
|
||||
with an indeterminate maturity date
|
||||
Stable Value Wrap
|
- | |||
IXIS
|
||||
variable annual yield (2.00% at December 31, 2010)
|
||||
with an indeterminate maturity date
|
||||
Stable Value Wrap
|
456,869 | |||
State Street Bank
|
||||
variable annual yield (2.00% at December 31, 2010)
|
||||
with an indeterminate maturity date
|
||||
Subtotal Wrapper Contracts
|
$ | 914,421 | ||
Intermediate Bond Fund-
|
$ | 738,889,267 | ||
JPMorgan Chase Bank
|
||||
JPMorgan Chase Bank
|
9,265,233 | |||
Liquidity Fund
|
||||
Subtotal Stable Value
|
$ | 748,154,500 | ||
TOTAL - INVESTMENT CONTRACTS
|
749,068,921 | |||
ADJUSTMENT FROM FAIR VALUE TO CONTRACT VALUE
|
8,599,095 | |||
TOTAL - INVESTMENT CONTRACTS AT CONTRACT VALUE
|
$ | 757,668,016 |
AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
|
|||||||
SCHEDULE OF ASSETS (HELD AT END OF YEAR (continued))
|
|||||||
Shares
|
Identity of Issuer, Borrower, Lessor or Similar Party
|
Fair Value
|
|||||
Cash Equivalents
|
|||||||
4,537,803 |
Cash
|
$ | 4,537,803 | ||||
14,023,662 |
JPMORGAN TREASURY PLUS INSTITUTIONAL SHARES
|
14,023,662 | |||||
Total Cash Equivalents
|
$ | 18,561,465 | |||||
Common / Collective Trusts
|
|||||||
6,273,811 |
Alliance Bernstein International Style Blend
|
$ | 63,365,492 | ||||
237,047 |
JPMCB US Real Estate Securities Fund
|
8,462,572 | |||||
2,974,287 |
EB Daily Liquidity Non SL Aggregate Bond Index Fund
|
334,693,511 | |||||
2,486,346 |
EB Daily Liquidity Non SL International Stock Index Fund
|
268,420,947 | |||||
1,144,550 |
EB Daily Liquidity Non SL Small Cap Stock
|
147,688,138 | |||||
3,497,636 |
EB Daily Liquidity Non SL Stock Index Fund
|
414,525,878 | |||||
74,095 |
EB DL Non SL Treasury Inflation Protected Securities Fund
|
7,671,177 | |||||
269,067 |
JPMCB Emerging Markets - Equity Focused
|
14,787,949 | |||||
20,217 |
JPMCB Strategic Property Fund
|
29,191,929 | |||||
14,680,743 |
JPMCB Liquidity Fund
|
15,680,742 | |||||
Total Common / Collective Trusts
|
$ | 1,304,488,335 | |||||
AEP Stock
|
|||||||
7,608,514 |
American Electric Power Company, Inc. Common Stock $6.50 par value
|
$ | 273,754,334 | ||||
Total AEP Stock
|
$ | 273,754,334 | |||||
Corporate Stock
|
|||||||
8,700 |
3M CO COM STK USD0.01
|
$ | 750,810 | ||||
7,650 |
AARON'S INC CLASS'A'COM VTG USD0.5
|
155,984 | |||||
- |
AARONS INC COM
|
99 | |||||
16,742 |
ABBOTT LABS COM NPV
|
802,109 | |||||
9,185 |
ABM INDUSTRIES INC COM STK USD0.01
|
241,566 | |||||
19,500 |
ACCENTURE PLC CLS'A'USD0.0000225
|
945,555 | |||||
17,700 |
ACE LIMITED CHF30.57
|
1,107,666 | |||||
3,750 |
ACUITY BRANDS INC COM STK USD0.01
|
216,263 | |||||
8,900 |
ADVANCE AUTO PARTS INC COM STK USD0.0001
|
589,269 | |||||
33,750 |
AEROPOSTALE INC COM STK USD0.01
|
831,600 | |||||
24,600 |
AETNA INC NEW COM STK USD0.001
|
750,546 | |||||
7,700 |
AFC ENTERPRISES INC COM STK USD0.001
|
107,030 | |||||
3,845 |
AFFILIATED MANAGERS GROUP INC COM STK USD0.01
|
381,501 | |||||
70,631 |
AGILENT TECHNOLOGIES INC COM STK USD0.01
|
2,926,242 | |||||
13,800 |
AGRIUM INC COM NPV
|
1,266,871 | |||||
5,900 |
AIR METHODS CORP COM STK USD0.06
|
331,993 | |||||
3,500 |
AIR PRODUCTS & CHEMICALS INC COM STK USD1
|
320,040 | |||||
1,100 |
ALEXANDRIA REAL ESTATE EQUITIES INC COM STK
|
81,081 | |||||
5,290 |
ALLEGHENY TECHNOLOGIES INC COM STK USD0.10
|
291,902 | |||||
26,712 |
ALLERGAN INC COM STK USD0.01
|
1,834,313 | |||||
21,700 |
ALLIANCE DATA SYSTEM COM STK USD0.01
|
1,541,351 | |||||
45,300 |
ALLSCRIPTS HEALTHCARE SOLUTIONS INC COM STK
|
872,931 | |||||
27,000 |
ALLSTATE CORP COM STK USD0.01
|
866,160 | |||||
47,367 |
ALTERA CORP COM STK USD0.001
|
1,685,318 | |||||
27,300 |
ALTERA CORP COM STK USD0.001
|
971,334 | |||||
31,000 |
ALTERA CORP COM STK USD0.001
|
1,102,980 | |||||
20,185 |
ALTERRA CAPITAL HLDGS LTD USD0.01
|
436,803 | |||||
8,000 |
ALTERRA CAPITAL HLDGS LTD USD0.01
|
173,120 | |||||
32,700 |
ALTRIA GROUP INC COM STK USD0.333
|
817,500 | |||||
37,321 |
AMAZON COM INC COM STK USD0.01
|
6,717,780 | |||||
17,100 |
AMEREN CORP COM STK USD0.01
|
482,049 | |||||
8,680 |
AMERICAN EAGLE OUTFITTER COM STK USD0.01
|
126,988 | |||||
35,402 |
AMERICAN TOWER CORP CLASS'A' COM USD0.01
|
1,828,159 | |||||
20,400 |
AMERIPRISE FINANCIAL INC COM STK USD0.01
|
1,174,020 | |||||
32,600 |
AMERIPRISE FINANCIAL INC COM STK USD0.01
|
1,876,130 |
25,600 |
AMERISOURCEBERGEN CORP COM STK NPV
|
873,472 | |||||
13,400 |
AMGEN INC COM STK USD0.0001
|
735,660 | |||||
18,200 |
AMPHENOL CORP CLASS'A'COM STK USD0.001
|
960,869 | |||||
63,900 |
AMR CORP COM STK USD1
|
497,781 | |||||
5,140 |
AMSURG CORP COM STK NPV
|
107,683 | |||||
27,800 |
ANALOG DEVICES INC COM STK USD0.16 2/3
|
1,047,226 | |||||
31,700 |
ANALOG DEVICES INC COM STK USD0.16 2/3
|
1,194,139 | |||||
38,038 |
ANHEUSER-BUSCH INBEV SA ADR EACH REP 1 ORD
|
2,171,589 | |||||
41,505 |
ANWORTH MORTGAGE ASSET CORP COM STK USD0.01
|
299,666 | |||||
6,987 |
APACHE CORP USD0.625
|
833,060 | |||||
15,975 |
APOLLO INVESTMENT CORP COM STK USD0.001
|
181,316 | |||||
23,039 |
APPLE INC COM STK NPV
|
7,431,460 | |||||
2,900 |
APPLE INC COM STK NPV
|
935,424 | |||||
20,600 |
APTARGROUP INC COM STK USD0.01
|
979,942 | |||||
5,100 |
ARCH CAPITAL GROUP COM STK USD0.01
|
449,055 | |||||
10,500 |
ARCHER DANIELS MIDLAND CO COM STK NPV
|
315,840 | |||||
32,925 |
ARES CAPITAL CORP COM STK USD0.001
|
542,604 | |||||
7,919 |
ARGO GROUP INTL HLDGS COM STK USD0.01
|
296,567 | |||||
4,760 |
ARKANSAS BEST CORP COM STK USD0.01
|
130,519 | |||||
62,800 |
ARRIS GROUP INC COM STK USD0.01
|
704,616 | |||||
29,400 |
ARROW ELECTRONICS INC COM STK USD1
|
1,006,950 | |||||
21,185 |
ARROW ELECTRONICS INC COM STK USD1
|
725,586 | |||||
18,995 |
ASBURY AUTOMOTIVE GROUP INC COM STK USD0.01
|
351,028 | |||||
5,700 |
ASHLAND INC COM STK USD1
|
289,902 | |||||
6,205 |
ASHLAND INC COM STK USD1
|
315,586 | |||||
5,800 |
ASPEN INSURANCE HLDGS COM STK USD0.15144558
|
165,996 | |||||
29,600 |
ASSURANT INC COM STK USD0.01
|
1,140,192 | |||||
5,245 |
ASSURANT INC COM STK USD0.01
|
202,037 | |||||
5,100 |
ASSURANT INC COM STK USD0.01
|
196,452 | |||||
114,500 |
ASSURED GUARANTY LTD COM STK USD0.01
|
2,026,650 | |||||
15,600 |
ASTRAZENECA PLC ADR EACH REP 1 ORD USD0.25(MGT)
|
720,564 | |||||
23,500 |
ATHEROS COMMUNICATIONS INC COM STK USD0.0005
|
844,120 | |||||
249,093 |
ATMEL CORP COM STK USD0.001
|
3,068,826 | |||||
27,700 |
ATWOOD OCEANICS INC COM STK USD1
|
1,035,149 | |||||
11,300 |
AUTOLIV INC COM STK USD1
|
892,022 | |||||
2,400 |
AUTOZONE INC COM STK USD0.01
|
654,216 | |||||
45,400 |
AVNET INC COM STK USD1
|
1,499,562 | |||||
13,755 |
AVNET INC COM STK USD1
|
454,328 | |||||
11,600 |
AVON PRODUCTS INC COM STK USD0.25
|
337,096 | |||||
22,179 |
BAIDU INC ADR EACH REPR 0.10 SHARE A
|
2,140,939 | |||||
13,253 |
BAKER HUGHES INC COM STK USD1
|
757,674 | |||||
4,900 |
BALL CORP COM STK NPV
|
333,445 | |||||
17,800 |
BALLY TECHNOLOGIES INC COM STK USD0.1
|
750,982 | |||||
20,200 |
BANK OF HAWAII CORP COM STK USD2
|
953,642 | |||||
16,195 |
BEACON ROOFING SUPPLY INC COM STK USD0.01 CLS'A'
|
289,405 | |||||
9,740 |
BECKMAN COULTER INC COM STK USD0.10
|
732,740 | |||||
12,800 |
BED BATH AND BEYOND COM STK USD0.01
|
629,120 | |||||
4,000 |
BEL FUSE INC CLASS'B'SHS USD0.1
|
95,600 | |||||
24,300 |
BELDEN INC COM STK USD0.01
|
895,966 | |||||
11,660 |
BELDEN INC COM STK USD0.01
|
429,904 | |||||
5,800 |
BELDEN INC COM STK USD0.01
|
213,846 | |||||
67,400 |
BELO CORP CLASS'A'COM STK USD1.67
|
477,192 | |||||
20,300 |
BEMIS CO INC COM STK USD0.10
|
662,998 | |||||
2,200 |
BERRY PETROLEUM CORP CLASS'A'COM STK USD0.01
|
96,140 | |||||
17,100 |
BIG LOTS INC COM STK USD0.01
|
520,866 | |||||
12,900 |
BILL BARRETT CORP COM NPV
|
530,577 | |||||
1,100 |
BIO RAD LABORATORIES INC CLASS'A'COM STK USD0.0001
|
114,235 | |||||
11,500 |
BIOGEN IDEC INC COM STK USD0.0005
|
771,075 | |||||
9,500 |
BIOMED REALTY TRUST INC COM STK USD0.01
|
178,790 | |||||
4,605 |
BJS WHOLESALE CLUB INC COM STK USD0.01
|
220,580 | |||||
4,700 |
BLACK BOX CORP COM STK USD0.001
|
180,245 | |||||
21,735 |
BLOCK(H & R) INC COM STK NPV
|
262,124 | |||||
24,796 |
BOEING CO COM STK USD5
|
1,618,187 |
7,300 |
BORG-WARNER INC COM STK USD0.01
|
528,228 | |||||
113,200 |
BOSTON SCIENTIFIC CORP COM STK USD0.01
|
856,924 | |||||
14,900 |
BP AMOCO P.L.C ADR-EACH CNV INTO 6 ORD USD0.25
|
658,133 | |||||
10,460 |
BRADY CORP 'A'NON.V USD0.01
|
341,101 | |||||
22,100 |
BRINK'S COMPANY BRINKS GROUP COM USD1
|
594,048 | |||||
16,140 |
BRINK'S COMPANY BRINKS GROUP COM USD1
|
433,843 | |||||
9,620 |
BRISTOW GROUP INC COM STK USD0.01
|
455,507 | |||||
48,778 |
BROADCOM CORP CLASS'A'COM STK USD0.0001
|
2,124,282 | |||||
51,600 |
BROOKS AUTOMATION INC
|
468,012 | |||||
3,700 |
BROWN & BROWN INC COM STK USD0.10
|
88,578 | |||||
16,925 |
BROWN SHOE CO INC COM STK USD0.01
|
236,950 | |||||
31,150 |
BUCKLE COM STK USD0.05
|
1,176,536 | |||||
28,600 |
BUCYRUS INTERNATIONAL INC COM STK USD0.01
|
2,556,840 | |||||
5,000 |
BUNGE LTD COM STK USD0.01
|
327,600 | |||||
54,900 |
CABLEVISION SYSTEMS CORP NY GROUP COM STK USD0.01
|
1,857,816 | |||||
8,059 |
CABOT CORP COM STK USD1
|
303,421 | |||||
3,900 |
CACI INTL INC CLASS A COM
|
208,260 | |||||
99,800 |
CAE INC COM NPV
|
1,150,694 | |||||
15,940 |
CALLAWAY GOLF CO COM STK USD0.01
|
128,636 | |||||
9,700 |
CAMBREX CORP COM STK USD0.10
|
50,149 | |||||
66,200 |
CAMECO CORP COM NPV
|
2,677,777 | |||||
24,600 |
CAMERON INTERNATIONAL CORP COM STK USD0.01
|
1,247,958 | |||||
8,219 |
CAMPUS CREST COMMUNITIES INC USD0.01
|
116,274 | |||||
26,100 |
CAPITAL ONE FINANCIAL CORP COM STK USD0.01
|
1,110,816 | |||||
13,440 |
CAPSTEAD MTGE.CORP COM STK USD0.01
|
174,451 | |||||
21,500 |
CARDINAL HEALTH INC COM STK NPV
|
827,858 | |||||
27,900 |
CARLISLE COS INC COM STK USD1
|
1,108,746 | |||||
18,100 |
CARMAX INC COM STK USD0.50
|
577,028 | |||||
2,094 |
CATAHY GENERAL BANCORP COM STK USD0.01
|
34,970 | |||||
6,300 |
CEC ENTERTAINMENT COM STK USD0.10
|
244,629 | |||||
9,049 |
CELANESE CORP COM STK USD0.0001 CLS'A'
|
372,547 | |||||
42,300 |
CELANESE CORP COM STK USD0.0001 CLS'A'
|
1,741,491 | |||||
42,519 |
CELGENE CORP COM STK USD0.01
|
2,514,574 | |||||
7,425 |
CENTENE CORP(DEL) COM STK USD0.001
|
188,150 | |||||
12,300 |
CEPHALON INC COM STK USD0.01
|
759,156 | |||||
2,600 |
CF INDUSTRIES HOLDINGS INC COM STK USD0.01
|
351,390 | |||||
9,963 |
CH ROBINSON WORLDWIDE INC COM STK USD0.10
|
801,822 | |||||
34,975 |
CHARMING SHOPPES INC COM STK USD0.10
|
124,161 | |||||
6,335 |
CHATHAM LODGING TRUST USD0.01
|
110,387 | |||||
7,645 |
CHECKPOINT SYSTEMS COM STK USD0.10
|
157,105 | |||||
7,500 |
CHEVRON CORP COM STK USD0.75
|
684,375 | |||||
21,142 |
CHICAGO BRIDGE & IRON CO N.V. EUR0.01 (REG)
|
695,572 | |||||
18,200 |
CHICOS FAS INC COM STK USD0.01
|
218,946 | |||||
10,000 |
CHILDRENS PLACE RETAIL STORE INC COM STK USD0.10
|
496,400 | |||||
17,900 |
CHUBB CORP COM STK USD1
|
1,074,179 | |||||
23,100 |
CIBER INC COM STK USD0.01
|
108,108 | |||||
22,000 |
CIGNA CORP COM STK USD0.25
|
806,520 | |||||
209,800 |
CINCINNATI BELL NC USD0.01
|
587,440 | |||||
120,975 |
CISCO SYSTEMS INC COM STK USD0.001
|
2,447,324 | |||||
387 |
CITY HLDG CO COM STK USD2.50
|
14,021 | |||||
4,500 |
CLIFFS NATURAL RESOURCES INC COM STK USD0.125
|
351,045 | |||||
13,900 |
CLIFFS NATURAL RESOURCES INC COM STK USD0.125
|
1,084,339 | |||||
27,800 |
CMS ENERGY CORP COM STK USD0.01
|
517,080 | |||||
39,426 |
COACH INC COM STK USD0.01
|
2,186,566 | |||||
11,100 |
COACH INC COM STK USD0.01
|
615,606 | |||||
20,900 |
COGNEX CORP COM STK USD0.002
|
614,878 | |||||
10,283 |
COGNIZANT TECHNOLOGY SOLUTIONS CORP COM STK
|
753,641 | |||||
5,370 |
COLONY FINANCIAL INC USD0.01
|
109,387 | |||||
6,120 |
COLUMBIA BANKING SYSTEMS INC COM STK NPV
|
128,887 | |||||
1,654 |
COMMERCE BANCSHARES INC COM STK USD5
|
65,703 | |||||
18,100 |
COMPUTER SCIENCES CORP COM STK USD1
|
901,380 | |||||
20,010 |
COMPUTER SCIENCES CORP COM STK USD1
|
996,498 | |||||
9,200 |
COMSTOCK RESOURCES INC COM STK USD0.50
|
225,952 |
21,657 |
COMTECH TELECOMMUNICATIONS COM STK USD0.10
|
600,549 | |||||
9,930 |
CONMED CORP COM STK USD0.01
|
262,450 | |||||
10,400 |
CONOCOPHILLIPS COM STK USD1.25
|
708,240 | |||||
48,600 |
CONVERGYS CORP COM STK NPV
|
640,062 | |||||
18,800 |
COOPER INDUSTRIES PLC USD0.01
|
1,100,631 | |||||
1,400 |
CORE LABORATORIES NV EUR0.02
|
124,670 | |||||
32,435 |
COSTCO WHOLESALE CORP COM STK USD0.005
|
2,342,131 | |||||
51,400 |
COTT CORP QUE COM
|
463,114 | |||||
7,102 |
COVANCE INC COM STK USD0.01
|
365,114 | |||||
13,105 |
COVANTA HOLDING CORP
|
225,275 | |||||
3,569 |
CRA INTERNATIONAL INC COM
|
83,907 | |||||
19,200 |
CRACKER BARREL OLD COUNTRY STORE INC
|
1,051,584 | |||||
23,500 |
CREDIT SUISSE GROUP ADR-EACH REPR 1 ORD(DT
|
949,635 | |||||
36,200 |
CROWN MEDIA HOLDINGS CLASS'A'COM STK USD0.01
|
94,844 | |||||
8,400 |
CUMMINS INC COM STK USD2.50
|
924,084 | |||||
7,600 |
CUMMINS INC COM STK USD2.50
|
836,076 | |||||
26,300 |
CUMMINS INC COM STK USD2.50
|
2,893,263 | |||||
21,711 |
CVB FINANCIAL NPV
|
190,080 | |||||
22,885 |
CYPRESS SHARPRIDGE INVESTMENTS INC COM STK USD0.01
|
295,445 | |||||
13,966 |
CYPRESS SHARPRIDGE INVESTMENTS INC COM STK USD0.01
|
180,301 | |||||
10,700 |
DANA HOLDING CORP USD0.01
|
184,147 | |||||
9,800 |
DARDEN RESTAURANTS INC COM STK NPV
|
455,112 | |||||
5,780 |
DAVITA INC COM STK USD0.001
|
401,652 | |||||
7,300 |
DECKERS OUTDOOR CORP COM STK USD0.01
|
582,102 | |||||
26,927 |
DEERE & CO COM STK USD1
|
2,245,712 | |||||
5,800 |
DELPHI FINANCIAL GROUP INC CLASS'A'COM STK USD0.01
|
167,272 | |||||
15,990 |
DIANA SHIPPING INC COM STK USD0.01
|
192,200 | |||||
16,800 |
DIEBOLD INC COM STK USD1.25
|
538,440 | |||||
5,960 |
DIEBOLD INC COM STK USD1.25
|
191,018 | |||||
53,550 |
DISCOVERY COMMUNICATIONS INC CLS 'C' USD0.01
|
1,964,750 | |||||
14,800 |
DOLBY LABORATORIES INC COM STK USD0.001 CLASS 'A'
|
987,160 | |||||
38,650 |
DOLE FOOD CO INC USD0.001
|
522,162 | |||||
50,767 |
DOLLAR GENERAL CORP USD0.875
|
1,557,024 | |||||
10,700 |
DOLLAR TREE INC COM STK USD0.01
|
600,056 | |||||
53,336 |
DONNELLEY(R.R.)& SONS CO COM STK USD1.25
|
931,780 | |||||
17,100 |
DOVER CORP COM STK USD1
|
999,495 | |||||
12,000 |
DOVER CORP COM STK USD1
|
701,400 | |||||
10,400 |
DOW CHEMICAL CO COM STK USD2.50
|
356,616 | |||||
31,900 |
DREAMWORKS ANIMATION SKG INC CLASS 'A' COM STK
|
940,093 | |||||
25,400 |
DRESS BARN INC COM STK USD0.05
|
671,068 | |||||
18,055 |
DRESS BARN INC COM STK USD0.05
|
477,013 | |||||
6,500 |
DU PONT(E.I.)DE NEMOURS & CO COM STK USD0.30
|
324,220 | |||||
71,961 |
DUKE REALTY CORP COM STK USD0.01
|
896,634 | |||||
23,200 |
EARTHLINK INC COM STK USD0.01
|
199,520 | |||||
7,570 |
EAST WEST BANCORP INC USD0.001
|
147,994 | |||||
3,900 |
EASTMAN CHEMICAL CO COM STK USD0.01
|
329,745 | |||||
9,000 |
EATON CORP COM USD0.50
|
913,590 | |||||
9,400 |
EBIX. COM INC USD0.10
|
222,498 | |||||
14,200 |
EDISON INTERNATIONAL COM STK NPV
|
552,664 | |||||
13,800 |
EL PASO ELECTRIC CO COM STK NPV
|
379,914 | |||||
10,445 |
ELECTRONICS FOR IMAGING INC COM STK USD0.01
|
149,468 | |||||
22,700 |
ENCANA CORP COM NPV
|
661,024 | |||||
16,100 |
ENDURANCE SPECIALTY HLDGS LTD USD1
|
741,727 | |||||
14,915 |
ENERGEN CORP COM STK USD0.01
|
719,798 | |||||
16,380 |
ENERSYS COM USD0.01
|
526,126 | |||||
6,600 |
ENERSYS COM USD0.01
|
211,992 | |||||
13,900 |
ENI ADR EACH REP 2 ORD (MGT)
|
607,986 | |||||
13,100 |
ENSCO PLC
|
699,278 | |||||
2,528 |
ENSIGN GROUP INC COM NPV
|
63,010 | |||||
800 |
ENSTAR GROUP LIMITED SHS
|
67,664 | |||||
6,800 |
ENTERGY CORP COM STK USD0.01
|
481,644 | |||||
3,900 |
ENTERTAINMENT PROPERTY TRUST SHS OF BENEFICIAL INT
|
182,910 | |||||
13,900 |
EQUIFAX INC COM STK USD1.25
|
494,840 |
13,654 |
ESTEE LAUDER COMPANIES INC CLASS'A'COM STK USD0.01
|
1,101,878 | |||||
17,500 |
EXPEDIA INC COM STK USD0.001
|
439,075 | |||||
14,626 |
EXPEDITORS INTERN OF WASHINGTON INC COM STK
|
798,580 | |||||
21,300 |
EXPRESS INC USD0.01
|
400,440 | |||||
7,400 |
EXPRESS INC USD0.01
|
139,120 | |||||
48,803 |
EXPRESS SCRIPTS INC COM STK USD0.01
|
2,637,802 | |||||
9,300 |
EXXON MOBIL CORP COM STK NPV
|
680,016 | |||||
12,700 |
FAMILY DOLLAR STORES INC COM STK USD0.10
|
633,286 | |||||
4,800 |
FAMILY DOLLAR STORES INC COM STK USD0.10
|
239,352 | |||||
33,050 |
FBR CAPITAL MARKETS CORP COM STK USD0.001
|
126,251 | |||||
16,250 |
FEDERATED INVESTORS INC COM STK CLASS'B'USD0.01
|
425,263 | |||||
12,195 |
FIDELITY NATIONAL FINANCIAL INC CLASS 'A' COM STK
|
166,828 | |||||
22,860 |
FIFTH STREET FINANCE CORP USD0.01
|
279,957 | |||||
12,045 |
FINISH LINE INC CLASS'A'COM STK USD0.01
|
207,054 | |||||
27,170 |
FIRST AMERICAN FINANCIAL CORP USD0.00001
|
407,550 | |||||
1,315 |
FIRST CITIZENS BANCSHARES INC NRTH CLASS'A'SHS
|
248,995 | |||||
17,919 |
FIRST MIDWEST BANCORP COM STK USD0.01
|
206,606 | |||||
12,900 |
FIRSTENERGY CORP COM STK USD0.10
|
477,558 | |||||
17,500 |
FLOWSERVE CORP COM STK USD1.25
|
2,091,425 | |||||
15,700 |
FLUOR CORP(NEW) COM STK USD0.01
|
1,042,245 | |||||
37,000 |
FLUSHING FINANCIAL CORP COM STK USD0.01
|
518,000 | |||||
7,500 |
FLUSHING FINANCIAL CORP COM STK USD0.01
|
105,000 | |||||
14,752 |
FNB CORP PA COM STK USD0.01
|
144,865 | |||||
31,600 |
FOOT LOCKER INC COM STK USD0.01
|
619,992 | |||||
6,360 |
FOOT LOCKER INC COM STK USD0.01
|
124,783 | |||||
9,601 |
FOOT LOCKER INC COM STK USD0.01
|
188,372 | |||||
35,000 |
FORD MOTOR CO COM STK USD0.01
|
587,650 | |||||
8,600 |
FOSSIL INC COM STK USD0.01
|
606,128 | |||||
41,100 |
FOSTER WHEELER AG CHF3
|
1,418,772 | |||||
9,000 |
FRANKLIN RESOURCES INC COM STK USD0.10
|
1,003,140 | |||||
10,630 |
FRESH DEL MONTE PRODUCE NV COM STK USD0.01
|
265,219 | |||||
11,950 |
FTI CONSULTING INC COM STK USD0.01
|
445,496 | |||||
10,600 |
FULLER(H.B.)CO COM STK USD1
|
217,512 | |||||
19,707 |
FULTON FINANCIAL CORP COM STK USD2.50
|
204,362 | |||||
4,745 |
G & K SERVICES INC CLASS'A'COM STK USD0.50
|
146,668 | |||||
2,200 |
G & K SERVICES INC CLASS'A'COM STK USD0.50
|
68,002 | |||||
36,200 |
GAMESTOP CORPORATION NEW CLASS 'A' COM USD0.001
|
828,256 | |||||
10,855 |
GAMESTOP CORPORATION NEW CLASS 'A' COM USD0.001
|
248,362 | |||||
48,800 |
GANNETT CO INC COM STK USD1
|
738,344 | |||||
9,725 |
GENERAC HLDGS USD0.01
|
157,253 | |||||
17,504 |
GENERAL CABLE CORP COM STK USD0.01
|
614,215 | |||||
8,625 |
GEO GROUP INC COM USD0.01
|
212,693 | |||||
19,700 |
GILEAD SCIENCES INC COM STK USD0.001
|
713,928 | |||||
24,600 |
GILEAD SCIENCES INC COM STK USD0.001
|
891,504 | |||||
19,102 |
GLAXOSMITHKLINE ADR EACH REPR 2 ORD GBP0.25
|
758,872 | |||||
33,100 |
GLOBAL PAYMENTS INC COM STK USD0.001
|
1,529,551 | |||||
3,575 |
GLOBAL PAYMENTS INC COM STK USD0.001
|
165,201 | |||||
5,700 |
GLOBAL PAYMENTS INC COM STK USD0.001
|
263,397 | |||||
18,690 |
GLOBE SPECIALTY METALS INC USD0.0001
|
319,412 | |||||
12,338 |
GOLDMAN SACHS GROUP INC COM STK USD0.01
|
2,074,758 | |||||
6,700 |
GOLDMAN SACHS GROUP INC COM STK USD0.01
|
1,126,672 | |||||
24,100 |
GOODRICH CORP COM STK USD5
|
2,122,487 | |||||
31,900 |
GOODRICH PETROLEUM CORPORATION COM STK USD0.20
|
562,716 | |||||
7,468 |
GOOGLE INC COM STK USD0.001 CLS'A'
|
4,435,768 | |||||
1,500 |
GOOGLE INC COM STK USD0.001 CLS'A'
|
890,955 | |||||
5,000 |
GRACO INC COM STK USD1
|
197,250 | |||||
49,000 |
GRAHAM PACKAGING CO INC USD0.01
|
638,960 | |||||
32,100 |
GRAND CANYON EDUCATION INC USD0.01
|
628,839 | |||||
3,260 |
GRANITE CONSTRUCTION COM STK USD0.01
|
89,846 | |||||
2,261 |
GREATBATCH INC COM STK USD0.001
|
54,603 | |||||
18,900 |
GREEN MOUNTAIN COFFEE ROASTERS INC COM STK USD0.10
|
621,054 | |||||
2,400 |
GREIF INC COM STK CLASS'A' NPV
|
149,568 | |||||
14,946 |
GRIFFON CORP COM STK USD0.25
|
190,412 |
4,615 |
GROUP 1 AUTOMOTIVE INC COM STK NPV
|
192,722 | |||||
16,900 |
GUESS INC COM STK USD0.01
|
799,708 | |||||
4,215 |
HAEMONETICS CORP COM STK USD0.01
|
266,304 | |||||
7,625 |
HANGER ORTHOPEDIC USD0.01
|
161,574 | |||||
7,100 |
HANGER ORTHOPEDIC USD0.01
|
150,449 | |||||
9,100 |
HANOVER INSURANCE GROUP INC COM STK USD0.01
|
425,152 | |||||
139,100 |
HARMONIC INC COM STK USD0.001
|
1,192,087 | |||||
9,985 |
HARRIS CORP COM STK USD1
|
452,321 | |||||
12,093 |
HARSCO CORP COM STK USD1.25
|
342,474 | |||||
3,600 |
HARTE-HANKS INC COM STK USD1
|
45,972 | |||||
38,200 |
HARTFORD FINANCIAL SERVICES GRP INC COM STK
|
1,011,918 | |||||
56,000 |
HARTFORD FINANCIAL SERVICES GRP INC COM STK
|
1,486,625 | |||||
12,408 |
HASBRO INC COM STK USD0.50
|
585,409 | |||||
5,595 |
HATTERAS FINANCIAL CORP USD0.001
|
174,956 | |||||
30,300 |
HCC INSURANCE HLDG COM STK USD1
|
881,276 | |||||
11,020 |
HEARTLAND PAYMENT SYSTEMS INC COM STK USD0.001
|
169,928 | |||||
15,700 |
HEIDRICK & STRUGGLES COM STK USD0.01
|
449,805 | |||||
12,500 |
HEIDRICK & STRUGGLES COM STK USD0.01
|
358,125 | |||||
13,540 |
HELIX ENERGY SOLUTIONS GROUP INC COM STK NPV
|
164,376 | |||||
31,400 |
HELMERICH & PAYNE INC COM STK USD0.10
|
1,522,272 | |||||
20,300 |
HERBALIFE LTD
|
1,387,911 | |||||
20,700 |
HEWLETT-PACKARD CO COM STK USD0.01
|
871,470 | |||||
50,500 |
HEXCEL CORP COM STK USD0.01
|
913,545 | |||||
12,335 |
HILLENBRAND INC NPV
|
256,691 | |||||
6,490 |
HORACE MANN EDUCATORS CORP COM STK USD0.001
|
117,080 | |||||
12,800 |
HUMANA INC COM STK USD0.166
|
700,672 | |||||
23,200 |
HUMANA INC COM STK USD0.166
|
1,269,968 | |||||
18,700 |
IAC/INTERACTIVE CORP COM STK USD0.001
|
536,690 | |||||
6,670 |
ICON SPON ADR EACH 1 REP I SHR
|
146,073 | |||||
25,983 |
ILLUMINA INC COM STK USD0.01
|
1,645,763 | |||||
12,575 |
IMATION CORP COM STK USD0.01
|
129,648 | |||||
37,000 |
IMMUNOGEN INC COM STK USD0.01
|
342,620 | |||||
2,500 |
INDEPENDENT BANK CORP(MASS) COM STK USD0.01
|
68,075 | |||||
2,775 |
INFINITY PROPERTY & CASUALTY CORP COM NPV
|
171,495 | |||||
43,916 |
INGERSOLL-RAND PLC USD1
|
2,068,004 | |||||
16,800 |
INGERSOLL-RAND PLC USD1
|
791,112 | |||||
19,290 |
INGRAM MICRO INC CLASS'A'COM STK USD0.01
|
368,246 | |||||
8,050 |
INSIGHT ENTERPRISE INC COM STK USD0.01
|
105,938 | |||||
12,300 |
INSIGHT ENTERPRISE INC COM STK USD0.01
|
161,868 | |||||
21,220 |
INSITUFORM TECHNOLOGIES CLASS'A'COM STK USD0.01
|
562,542 | |||||
85,711 |
INTEGRATED DEVICE TECHNOLOGY INC COM STK USD0.001
|
570,835 | |||||
9,242 |
INTEGRYS ENERGY GROUP INC COM STK USD1
|
448,329 | |||||
44,300 |
INTERMEC INC COM STK USD0.01
|
560,838 | |||||
34,554 |
INTERNATIONAL BUS MACH CORP COM STK USD0.20
|
5,071,145 | |||||
6,400 |
INTERNATIONAL BUS MACH CORP COM STK USD0.20
|
939,264 | |||||
15,860 |
INTERNATIONAL COAL GROUP COM STK USD0.01
|
122,756 | |||||
13,300 |
INTERNATIONAL PAPER CO COM STK USD1
|
362,292 | |||||
16,125 |
INTERNATIONAL SPEEDWAY CORP CLASS'A'COM STK
|
421,991 | |||||
19,400 |
INTUIT INC COM STK USD0.01
|
956,420 | |||||
4,745 |
INVACARE CORP COM STK NPV
|
143,109 | |||||
75,100 |
ION GEOPHYSICAL CORPORATION COM STK USD0.01
|
636,848 | |||||
69,500 |
ISIS PHARMACEUTICAL COM STK USD0.001
|
703,340 | |||||
38,100 |
ITT EDUCATIONAL SERVICES INC COM STK USD0.01
|
2,426,589 | |||||
9,600 |
JACK IN THE BOX INC COM STK USD0.01
|
202,848 | |||||
55,600 |
JDA SOFTWARE GROUP INC COM STK USD0.01
|
1,556,800 | |||||
22,500 |
JDS UNIPHASE CORP COM STK USD0.008
|
325,800 | |||||
23,200 |
JOHNSON CONTROLS INC COM STK USD0.01388
|
889,952 | |||||
11,400 |
JOY GLOBAL INC COM STK USD1
|
988,950 | |||||
15,100 |
JOY GLOBAL INC COM STK USD1
|
1,309,925 | |||||
51,520 |
JPMORGAN CHASE & CO COM STK USD1
|
2,185,478 | |||||
27,300 |
JPMORGAN CHASE & CO COM STK USD1
|
1,158,066 | |||||
85,577 |
JUNIPER NETWORKS COM STK USD0.00001
|
3,159,503 | |||||
23,500 |
KANSAS CITY SOUTHERN COM STK USD0.01
|
1,124,710 |
24,390 |
KAR AUCTION SERVICES INC USD0.01
|
336,582 | |||||
30,800 |
KBR INC COM STK USD0.001
|
940,016 | |||||
6,500 |
KENNAMETAL INC CAP STK USD1.25
|
256,490 | |||||
18,675 |
KINDRED HEALTHCARE INC COM STK USD0.25
|
343,060 | |||||
26,050 |
KNIGHT CAPITAL GROUP INC CLASS'A' COM STK USD0.01
|
359,230 | |||||
17,355 |
KNOLL INC COM STK USD1
|
290,349 | |||||
7,455 |
KNOLL INC COM STK USD1
|
124,722 | |||||
63,526 |
KRAFT FOODS INC COM STK NPV CLS'A'
|
2,020,127 | |||||
3,700 |
LAKELAND FINANCIAL CORP COM STK USD0.01
|
79,402 | |||||
19,800 |
LAM RESEARCH CORP COM STK USD0.001
|
1,025,244 | |||||
30,300 |
LAM RESEARCH CORP COM STK USD0.001
|
1,568,934 | |||||
5,725 |
LANDSTAR SYSTEMS INC COM STK USD0.01
|
234,382 | |||||
63,900 |
LAS VEGAS SANDS CORP COM STK USD0.001
|
2,936,205 | |||||
47,503 |
LAZARD LTD COM STK CLASS 'A' USD0.01
|
1,875,893 | |||||
5,473 |
LA-Z-BOY INC COM STK USD1
|
49,366 | |||||
21,800 |
LENDER PROCESSING SERVICES INC USD0.01
|
643,536 | |||||
23,185 |
LENNAR CORP COM STK USD0.10
|
434,719 | |||||
4,900 |
LEXMARK INTERNATIONAL INC CLASS'A'COM STK USD0.01
|
170,618 | |||||
13,200 |
LIBERTY MEDIA HOLDING COM STK NPV CAP'A' WI
|
825,792 | |||||
3,857 |
LIFE TIME FITNESS INC COM STK USD0.02
|
158,098 | |||||
7,720 |
LIFEPOINT HOSPITALS INC COM STK USD0.01
|
283,710 | |||||
18,700 |
LIMITED BRANDS INC COM STK USD0.50
|
574,651 | |||||
76,300 |
LIN TV CORP COM STK USD0.01
|
404,390 | |||||
22,450 |
LINCARE HLDGS INC COM STK USD0.01
|
602,334 | |||||
10,300 |
LINCOLN ELECTRIC HLDGS INC COM STK NPV
|
675,474 | |||||
33,205 |
LINCOLN NATIONAL CORP COM STK USD1.25
|
923,431 | |||||
29,300 |
LINEAR TECHNOLOGY CORP COM STK NPV
|
1,013,487 | |||||
37,575 |
LIVE NATION ENTERTAINMENT INC COM STK USD0.01
|
429,107 | |||||
40,900 |
LODGENET INTERATIVE CORP
|
173,825 | |||||
9,200 |
LORILLARD INC USD0.01
|
754,952 | |||||
146,400 |
LSI CORPORATION COM STK USD0.01
|
876,936 | |||||
2,500 |
MACK CALI REALTY CORP COM STK USD0.01
|
82,650 | |||||
13,700 |
MADISON SQUARE GARDEN INC CLASS A USD0.01
|
353,186 | |||||
4,870 |
MANPOWERGROUP USD0.01
|
305,641 | |||||
16,800 |
MANTECH INTERNATIONAL CORP COM STK USD0.01
|
694,344 | |||||
17,500 |
MARATHON OIL CORP COM STK USD1
|
648,025 | |||||
64,235 |
MARRIOTT INTERNATIONAL INC COM STK USD0.01 CL'A'
|
2,673,942 | |||||
62,800 |
MARSHALL & ILSLEY CORP NEW COM STK USD1
|
434,576 | |||||
11,333 |
MARVELL TECHNOLOGY GROUP LTD ORD
|
210,227 | |||||
17,774 |
MASTERCARD INC COM STK
|
3,983,331 | |||||
4,500 |
MATTHEWS INTL CORP CLASS'A'COM STK USD1
|
157,410 | |||||
3,185 |
MAXIMUS INC COM STK NPV
|
208,872 | |||||
2,786 |
MAXIMUS INC COM STK NPV
|
182,706 | |||||
5,776 |
MB FINANCIAL INC COM STK USD0.01
|
100,040 | |||||
6,535 |
MCAFEE INC COM STK USD0.01
|
302,636 | |||||
25,463 |
MEAD JOHNSON NUTRITION USD0.01
|
1,590,801 | |||||
28,000 |
MEADWESTVACO CORPORATION COM NPV
|
732,480 | |||||
33,710 |
MEDCO HEALTH SOLUTIONS INC COM STK USD0.01
|
2,065,412 | |||||
12,600 |
MEDCO HEALTH SOLUTIONS INC COM STK USD0.01
|
772,002 | |||||
22,300 |
MEDTRONIC INC COM STK USD0.10
|
827,107 | |||||
7,375 |
MENS WEARHOUSE INC COM STK USD0.01
|
184,228 | |||||
26,000 |
METLIFE INC COM STK USD0.01
|
1,155,440 | |||||
52,015 |
MFA FINANCIAL INC COM STK USD0.01
|
436,666 | |||||
16,600 |
MFA FINANCIAL INC COM STK USD0.01
|
139,357 | |||||
20,785 |
MGIC INVESTMENT CORP COM STK USD1
|
211,799 | |||||
19,600 |
MICROCHIP TECHNOLOGY COM STK USD0.001
|
670,516 | |||||
46,000 |
MICROMET INC COM STK USD0.00004
|
373,520 | |||||
39,000 |
MILLER(HERMAN) INC COM STK USD0.20
|
987,743 | |||||
3,200 |
MINERALS TECHNOLOGIES INC COM STK USD0.10
|
209,312 | |||||
4,860 |
MONRO MUFFLER BRAKE INC COM STK USD0.01
|
168,107 | |||||
21,427 |
MONSANTO CO COM STK USD0.01
|
1,492,176 | |||||
12,430 |
MONSTER WORLDWIDE INC COM STK USD0.001
|
293,721 | |||||
5,900 |
MOOG INC CLASS'A'(LIM.V)USD1
|
234,820 |
4,555 |
MUELLER INDUSTRIES INC COM STK USD0.01
|
148,949 | |||||
24,960 |
MUELLER WATER PRODUCTS INC COM STK USD0.01 SER'A'
|
104,083 | |||||
6,200 |
MYERS INDUSTRIES INC COM STK NPV
|
60,791 | |||||
62,600 |
MYLAN INC COM STK USD0.50
|
1,322,738 | |||||
47,100 |
MYRIAD GENETICS INC COM STK USD0.01
|
1,075,764 | |||||
30,700 |
NABORS INDUSTRIES COM STK USD0.001
|
720,222 | |||||
10,600 |
NATIONAL OILWELL VARCO INC COM STK USD0.01
|
712,850 | |||||
23,164 |
NATIONAL PENN BANCSHARES COM STK NPV
|
186,007 | |||||
4,400 |
NATIONWIDE HEALTH PROPERTIES INC COM STK USD0.10
|
160,072 | |||||
17,465 |
NAVIGANT CONSULTING INC COM STK USD0.001
|
160,678 | |||||
14,395 |
NAVIGANT CONSULTING INC COM STK USD0.001
|
132,434 | |||||
2,700 |
NAVIGATORS GROUP INC COM STK USD0.10
|
135,945 | |||||
11,700 |
NAVISTAR INTERNATIONAL CORP COM STK USD0.10
|
677,547 | |||||
56,177 |
NETAPP INC COM STK NPV
|
3,087,488 | |||||
19,200 |
NETAPP INC COM STK NPV
|
1,055,232 | |||||
31,300 |
NEXEN INC COM NPV
|
718,392 | |||||
11,700 |
NII HOLDINGS INC COM STK USD0.001
|
522,522 | |||||
43,814 |
NIKE INC CLASS'B'COM STK NPV
|
3,742,592 | |||||
2,500 |
NOBLE CORPORATION CHF0.01
|
89,425 | |||||
29,000 |
NORDSTROM INC COM STK NPV
|
1,229,020 | |||||
41,500 |
NOVELLUS SYSTEMS INC COM STK NPV
|
1,341,280 | |||||
23,700 |
NRG ENERGY INC COM STK USD0.01
|
463,098 | |||||
11,320 |
NU SKIN ENTERPRISES INC CLASS'A'COM STK USD0.001
|
342,543 | |||||
54,600 |
NUANCE COMMUNICATIONS INC COM STK USD0.001
|
992,628 | |||||
22,500 |
NUVASIVE INC COM STK USD0.001
|
577,125 | |||||
37,100 |
NV ENERGY INC COM STK USD0.01
|
521,255 | |||||
35,331 |
OCCIDENTAL PETROLEUM CORP COM USD0.20
|
3,479,397 | |||||
7,900 |
OCCIDENTAL PETROLEUM CORP COM USD0.20
|
777,992 | |||||
3,675 |
OCEANEERING INTERNATIONAL INC COM STK USD0.25
|
270,590 | |||||
48,640 |
OCWEN FINANCIAL CORP COM STK USD0.01
|
464,026 | |||||
4,900 |
OLD DOMINION FREIGHT LINE INC COM STK USD0.10
|
156,751 | |||||
7,290 |
OLIN CORP COM STK USD1
|
149,591 | |||||
24,625 |
OMNICARE INC COM STK USD1
|
625,229 | |||||
30,300 |
ONYX PHARMACEUTICALS COM STK USD0.001
|
1,117,161 | |||||
114,894 |
ORACLE CORP COM STK USD0.01
|
3,596,182 | |||||
30,500 |
ORACLE CORP COM STK USD0.01
|
954,650 | |||||
114,500 |
ORIENT EXPRESS HOTELS LTD CLS'A'COM STK USD0.01
|
1,487,355 | |||||
5,440 |
OSHKOSH CORPORATION
|
191,706 | |||||
10,500 |
OWENS & MINOR INC COM STK USD2
|
309,015 | |||||
3,000 |
OXFORD INDUSTRIES INC COM STK USD1
|
76,830 | |||||
37,000 |
PALL CORP COM STK USD0.10
|
1,834,460 | |||||
4,354 |
PANTRY INC COM STK USD0.01
|
86,470 | |||||
9,100 |
PARAMETRIC TECHNOLOGY CORP NEW COM STK USD0.01
|
205,023 | |||||
10,450 |
PARKER-HANNIFIN CORP COM STK USD0.50
|
901,835 | |||||
4,610 |
PARTNERRE COM STK USD1
|
370,414 | |||||
31,000 |
PATTERSON UTI ENERGY INC COM STK USD0.01
|
668,050 | |||||
65,000 |
PDL BIOPHARMA INC COM STK USD0.01
|
404,950 | |||||
21,200 |
PETMED EXPRESS INC COM STK USD0.001
|
377,572 | |||||
44,400 |
PFIZER INC COM STK USD0.05
|
777,444 | |||||
15,100 |
PG&E CORP COM STK NPV
|
729,255 | |||||
5,050 |
PHARMERICA CORPORATION COM STK USD0.01
|
57,823 | |||||
30,170 |
PHH CORP COM STK NPV
|
698,436 | |||||
10,000 |
PHH CORP COM STK NPV
|
231,500 | |||||
12,800 |
PHILIP MORRIS INTERNATIONAL INC NPV
|
757,376 | |||||
11,781 |
PHILLIPS VAN HEUSEN CORP COM STK USD1
|
742,321 | |||||
13,817 |
PIER 1 IMPORTS INC COM STK USD1
|
145,079 | |||||
17,400 |
PINNACLE WEST CAPITAL CORP COM STK USD2.50
|
721,230 | |||||
37,300 |
PITNEY BOWES INC COM STK USD1
|
901,914 | |||||
9,550 |
PLATINUM UNDERWRITERS HLDGS LTD SHS
|
429,464 | |||||
3,900 |
PLATINUM UNDERWRITERS HLDGS LTD SHS
|
175,383 | |||||
29,185 |
PNM RESOURCES INC COM STK USD5
|
379,989 | |||||
22,358 |
POLO RALPH LAUREN CORP CLASS'A'COM STK USD0.01
|
2,482,185 | |||||
4,000 |
PPG INDUSTRIES INC COM STK USD1.666
|
336,280 |
19,854 |
PRECISION CASTPARTS CORP COM NPV
|
2,764,471 | |||||
7,700 |
PRECISION CASTPARTS CORP COM NPV
|
1,072,163 | |||||
17,300 |
PRECISION CASTPARTS CORP COM NPV
|
2,408,852 | |||||
16,000 |
PRICE T ROWE GROUP INC COM STK USD0.20
|
1,032,640 | |||||
1,000 |
PRICELINE.COM INC COM STK USD0.008
|
399,550 | |||||
1,770 |
PROASSURANCE CORP COM STK USD0.01
|
107,262 | |||||
4,571 |
PROGRESS SOFTWARE CORP COM STK USD0.01
|
193,445 | |||||
5,099 |
PROSPERITY BANCSHARES INC COM STK USD1
|
200,289 | |||||
19,200 |
PRUDENTIAL FINANCIAL INC COM STK USD0.01
|
1,127,232 | |||||
6,160 |
PSS WORLD MEDICAL INC COM STK USD0.01
|
139,216 | |||||
26,700 |
PULTE GROUP INC COM STK USD0.01
|
200,784 | |||||
12,700 |
QEP RESOURCES INC USD0.01
|
461,137 | |||||
52,920 |
QUALCOMM INC COM STK USD0.0001
|
2,619,011 | |||||
30,026 |
QUANTA SERVICES INC COM STK USD0.00001
|
598,118 | |||||
30,500 |
RADIOSHACK CORP COM STK USD1
|
563,945 | |||||
14,756 |
RAMCO-GERSHENSON PROPERTIES TRUST SBI USD0.01
|
186,121 | |||||
41,200 |
RAYMOND JAMES FINANCIAL INC COM STK USD0.01
|
1,352,596 | |||||
5,100 |
RAYONIER INC COM STK NPV
|
267,852 | |||||
12,425 |
RC2 CORP COM STK USD0.01
|
270,492 | |||||
8,900 |
RC2 CORP COM STK USD0.01
|
193,753 | |||||
32,855 |
RED HAT USD0.0001
|
1,499,831 | |||||
19,395 |
REDWOOD TRUST INC COM STK USD0.01
|
294,416 | |||||
3,055 |
REGENCY CENTERS CORP COM STK USD0.01
|
129,043 | |||||
44,800 |
REGENERON PHARMACEUTICALS INC COM STK USD0.001
|
1,470,784 | |||||
16,715 |
REGIS CORP COM STK USD0.05
|
277,469 | |||||
5,020 |
REHABCARE GROUP INC COM
|
118,974 | |||||
13,050 |
REINSURANCE GROUP OF AMERICA USD0.01
|
700,916 | |||||
3,500 |
REINSURANCE GROUP OF AMERICA USD0.01
|
187,985 | |||||
6,900 |
RELIANCE STEEL & ALUMINIUM COM STK NPV
|
352,590 | |||||
2,925 |
RENAISSANCERE HLDGS COM STK USD1
|
186,293 | |||||
15,685 |
RENT-A-CENTER INC COM STK USD0.01
|
506,312 | |||||
23,200 |
REYNOLDS AMERICAN INC COM STK USD0.0001
|
768,152 | |||||
98,100 |
RF MICRO DEVICES INC COM STK NPV
|
721,035 | |||||
26,900 |
ROBERT HALF INTERNATIONAL INC COM STK USD1
|
823,140 | |||||
2,315 |
ROCK-TENN CO CLASS'A'COM STK USD0.01
|
124,894 | |||||
7,550 |
ROSETTA RESOURCES INC COM STK USD0.01
|
284,182 | |||||
9,300 |
ROSS STORES INC COM STK USD0.01
|
588,225 | |||||
9,700 |
ROVI CORP COM
|
601,497 | |||||
33,100 |
ROWAN COS INC COM STK USD0.125
|
1,155,521 | |||||
13,900 |
ROYAL CARIBBEAN CRUISES COM STK USD0.01
|
653,300 | |||||
31,900 |
ROYAL CARIBBEAN CRUISES COM STK USD0.01
|
1,499,300 | |||||
9,900 |
ROYAL DUTCH SHELL ADR EACH REPR 2'A'SHS
|
661,122 | |||||
34,700 |
RTI INTERNATIONAL METALS INC COM STK USD0.01
|
936,206 | |||||
11,900 |
RUDDICK CORP COM STK USD1
|
439,943 | |||||
1,000 |
RYDER SYSTEM INC COM STK USD0.50
|
52,640 | |||||
7,000 |
S & T BANCORP INC COM STK USD2.50
|
158,130 | |||||
69,500 |
SAKS INC COM STK USD0.10
|
743,650 | |||||
21,099 |
SALESFORCE.COM INC COM STK USD0.001
|
2,785,068 | |||||
5,750 |
SANDERSON FARM INC COM STK USD1
|
225,113 | |||||
22,900 |
SANOFI-AVENTIS ADR ECH REP 1/2 ORD EUR2 SPON
|
738,067 | |||||
20,400 |
SAP AG ADR EACH 1 REP 1 COM NPV(SPONS)LEVEL II
|
1,032,444 | |||||
43,900 |
SARA LEE CORP COM STK USD0.01
|
768,689 | |||||
58,703 |
SCHLUMBERGER COM STK USD0.01
|
4,914,028 | |||||
1,700 |
SCHOLASTIC CORP COM STK USD0.01
|
50,218 | |||||
101,439 |
SCHWAB(CHARLES)CORP COM STK USD0.01
|
1,735,621 | |||||
9,105 |
SCOTTS MIRACLE-GRO CO CLASS'A'COM STK NPV
|
462,261 | |||||
99,800 |
SEACHANGE INTERNATIONAL INC COM STK USD0.01
|
853,290 | |||||
31,830 |
SEAGATE TECHNOLOGY PLC USD0.00001
|
478,405 | |||||
53,900 |
SEATTLE GENETICS INC COM STK USD0.01
|
805,805 | |||||
36,965 |
SELECT MEDICAL HLDGS CORP NPV
|
270,214 | |||||
6,535 |
SENSIENT TECHNOLOGIES CORP COM STK USD0.10
|
240,031 | |||||
33,875 |
SERVICE CORPORATION INTERNATIONAL COM STK USD1
|
279,469 | |||||
30,461 |
SHIRE PLC
|
2,204,767 |
5,100 |
SIGNET JEWELERS LTD COM STK USD0.18
|
221,340 | |||||
8,545 |
SIMON PROPERTY GROUP INC COM STK USD0.0001
|
850,093 | |||||
91,700 |
SINCLAIR BROADCAST GROUP INC CLASS'A'COM STK
|
750,106 | |||||
12,260 |
SKECHERS USA INC CLASS'A'COM STK USD0.001
|
245,200 | |||||
32,000 |
SKYWORKS SOLUTIONS INCCOM
|
916,160 | |||||
66,815 |
SLM CORP COM STK USD0.20
|
841,201 | |||||
3,900 |
SM ENERGY CO
|
229,827 | |||||
28,200 |
SONOCO PRODUCTS CO COM STK NPV
|
949,494 | |||||
44,734 |
SOUTHWESTERN ENERGY CO COM STK USD0.10
|
1,674,394 | |||||
12,300 |
SPARTAN STORES INC COM STK USD0.01
|
208,485 | |||||
27,700 |
ST.JUDE MEDICAL INC COM STK USD0.10
|
1,184,175 | |||||
1,300 |
STANCORP FINANCIAL GROUP COM STK NPV
|
58,682 | |||||
7,800 |
STANDEX INTERNATIONAL CORP COM STK USD1.5
|
233,298 | |||||
9,800 |
STANLEY BLACK & DECKER INC USD2.50
|
655,326 | |||||
69,193 |
STAPLES INC COM STK USD0.0006
|
1,581,752 | |||||
73,125 |
STARBUCKS CORP COM STK NPV
|
2,349,506 | |||||
4,750 |
STATE AUTO FINANCIAL CORP COM STK NPV
|
82,745 | |||||
51,500 |
STEEL DYNAMICS INC COM STK USD0.01
|
946,508 | |||||
64,100 |
STEELCASE INC COM STK NPV
|
680,101 | |||||
5,600 |
STERIS CORP COM STK NPV
|
204,176 | |||||
2,650 |
STIFEL FINANCIAL CORP COM STK USD0.15
|
164,406 | |||||
94,200 |
STILLWATER MINING CO COM STK USD0.01
|
2,011,170 | |||||
15,000 |
SUNOCO INC COM STK USD1
|
604,650 | |||||
24,600 |
SUNOCO INC COM STK USD1
|
991,626 | |||||
7,805 |
SVB FINANCIAL GROUP COM STK USD0.001
|
414,055 | |||||
3,100 |
SY BANCORP INC COM STK NPV
|
76,663 | |||||
6,410 |
SYKES ENTERPRISES INC COM STK USD0.01
|
129,867 | |||||
11,956 |
SYKES ENTERPRISES INC COM STK USD0.01
|
242,229 | |||||
22,650 |
SYMETRA FINANCIAL CORP USD0.01
|
310,305 | |||||
14,960 |
SYMMETRY MEDICAL INC COM STK USD0.0001
|
138,380 | |||||
10,765 |
SYNNEX CORP COM STK USD0.001
|
335,868 | |||||
34,900 |
TALISMAN ENERGY INC COM NPV
|
774,431 | |||||
37,311 |
TARGET CORP COM STK USD0.0833
|
2,243,510 | |||||
1,500 |
TAUBMAN CENTRES INC COM STK USD0.01
|
75,720 | |||||
13,300 |
TCF FINANCIAL COM STK USD0.01
|
196,973 | |||||
5,900 |
TECK RESOURCES LTD CLASS'B'SUB-VTG COM NPV
|
366,525 | |||||
26,800 |
TECO ENERGY INC COM STK USD1
|
477,040 | |||||
16,300 |
TEMPUR PEDIC INTERNATIONAL INC COM STK USD0.01
|
652,978 | |||||
10,220 |
TEMPUR PEDIC INTERNATIONAL INC COM STK USD0.01
|
409,413 | |||||
20,540 |
TENCENT HLDGS LIMITED UNSP ADR EACH REPR 1SH
|
445,923 | |||||
5,800 |
TERADATA CORP DEL COM
|
238,728 | |||||
66,700 |
TERADYNE INC COM STK USD0.125
|
936,468 | |||||
21,555 |
TERADYNE INC COM STK USD0.125
|
302,632 | |||||
35,776 |
TEVA PHARMACEUTICAL INDUSTRIES ADR EACH CNV INTO 1
|
1,865,003 | |||||
28,700 |
TEXAS INSTRUMENTS INC COM STK USD1
|
932,750 | |||||
19,600 |
THE MOSAIC COMPANY
|
1,496,656 | |||||
10,155 |
THOR INDUSTRIES COM STK USD0.10
|
345,879 | |||||
5,400 |
TIDEWATER INC COM STK USD0.10
|
290,736 | |||||
27,720 |
TIFFANY & CO COM STK USD0.01
|
1,733,306 | |||||
16,200 |
TJX COS INC COM STK USD1
|
719,118 | |||||
12,750 |
TOLL BROS INC COM STK USD0.01
|
242,250 | |||||
11,800 |
TOTAL ADR(CNV 1 SHS EUR10)
|
631,064 | |||||
13,735 |
TOWERS WATSON & CO CLASS A USD0.01
|
716,074 | |||||
14,200 |
TRACTOR SUPPLY CO COM STK USD0.008
|
688,558 | |||||
9,996 |
TRANSDIGM GROUP INC USD0.01
|
719,812 | |||||
19,600 |
TRAVELERS COS INC/THE
|
1,091,916 | |||||
3,600 |
TREX COMPANY COM STK USD0.01
|
86,256 | |||||
37,000 |
TRIMBLE NAVIGATION COM STK NPV
|
1,477,410 | |||||
138,000 |
TRIQUINT SEMI CONDUCTOR INC COM STK USD0.001
|
1,613,220 | |||||
699 |
TRUSTMARK CORP COM STK NPV
|
17,363 | |||||
16,470 |
TUTOR PERINI CORP COM STK USD1
|
352,623 | |||||
63,900 |
TW TELECOM INC CLS'A'COM STK USD0.01
|
1,089,495 | |||||
7,300 |
UGI CORP COM NPV
|
232,359 |
29,400 |
ULTRA PETROLEUM CORP COM NPV
|
1,404,438 | |||||
42,033 |
UNIFI INC USD0.1
|
711,619 | |||||
270 |
UNIFIRST CORP COM STK USD0.10
|
14,874 | |||||
61,846 |
UNILEVER ADS-EACH REPR 1 ORD(JPM)
|
1,909,804 | |||||
17,807 |
UNION PACIFIC CORP COM STK USD2.50
|
1,656,763 | |||||
3,800 |
UNISOURCE ENERGY CORP COM STK NPV
|
136,192 | |||||
3,700 |
UNITED BANKSHARES INC COM STK USD2.50
|
109,150 | |||||
20,281 |
UNITED RENTALS INC COM STK USD0.01
|
461,393 | |||||
17,900 |
UNITED STATES CELLULAR CORP COM STK USD1
|
893,926 | |||||
7,800 |
UNITED STATES STEEL CORP COM STK USD1
|
455,676 | |||||
7,503 |
UNITED STATIONERS INC COM STK USD0.10
|
478,766 | |||||
27,989 |
UNITED TECHNOLOGIES CORP COM STK USD1
|
2,203,294 | |||||
22,200 |
UNITEDHEALTH GROUP INC COM STK USD0.01
|
801,642 | |||||
4,500 |
UNIVERSAL CORP COM STK NPV
|
183,150 | |||||
15,623 |
URBAN OUTFITTERS INC COM STK USD0.0001
|
559,460 | |||||
14,646 |
URS CORP COM STK USD0.01
|
609,420 | |||||
27,465 |
UTI WORLDWIDE INC ORD NPV
|
582,258 | |||||
33,700 |
VALERO ENERGY CORP(NEW) USD0.01
|
779,144 | |||||
24,494 |
VALIDUS HOLDING LTD COM STK USD0.175
|
749,773 | |||||
3,969 |
VALLEY NATIONAL BANCORP COM STK NPV
|
57,471 | |||||
37,000 |
VALSPAR CORP COM STK USD0.50
|
1,282,420 | |||||
16,580 |
VCA ANTECH INC COM STK USD0.01
|
386,148 | |||||
12,200 |
VECTREN CORP COM NPV
|
309,636 | |||||
23,300 |
VEECO FEI INCCOM USD0.01
|
1,000,968 | |||||
23,320 |
VERTEX PHARMACEUTICAL COM STK USD0.01
|
816,900 | |||||
8,000 |
VF CORP COM STK NPV
|
689,440 | |||||
7,018 |
VIAD CORP COM STOCK USD1.5
|
179,029 | |||||
35,706 |
VISA INC USD0.0001 'A'
|
2,512,988 | |||||
13,100 |
VISA INC USD0.0001 'A'
|
921,978 | |||||
79,600 |
VISHAY INTL USD0.10
|
1,168,528 | |||||
5,685 |
VISHAY PRECISION GROUP INC USD0.10
|
107,105 | |||||
36,343 |
VMWARE INC CLS'A'COM STK USD0.01
|
3,231,256 | |||||
37,700 |
WADDELL & REED FINL INC CL A
|
1,337,973 | |||||
43,700 |
WADDELL & REED FINL INC CL A
|
1,550,913 | |||||
5,000 |
WADDELL & REED FINL INC CL A
|
177,450 | |||||
98,452 |
WALT DISNEY(HLDG)CO DISNEY COM STK USD0.01
|
3,732,315 | |||||
2,435 |
WARNACO GROUP INC CLS'A'COM STK USD0.01
|
134,095 | |||||
5,000 |
WARNER CHILCOTT PLC USD0.01
|
112,800 | |||||
8,900 |
WATERS CORP COM STK USD0.01
|
691,619 | |||||
14,200 |
WELLPOINT INC COM STK USD0.01
|
807,412 | |||||
35,682 |
WERNER ENTERPRISES INC COM STK USD0.01
|
806,413 | |||||
35,300 |
WESCO INTERNATIONAL INC COM STK USD0.01
|
1,863,840 | |||||
5,670 |
WESCO INTERNATIONAL INC COM STK USD0.01
|
299,376 | |||||
800 |
WESTAMERICA BANCORP COM STK NPV
|
44,376 | |||||
43,200 |
WESTERN UNION COMPANY (THE) COM STK USD0.01
|
802,224 | |||||
90,300 |
WESTERN UNION COMPANY (THE) COM STK USD0.01
|
1,676,871 | |||||
8,900 |
WHIRLPOOL CORP COM STK USD1
|
790,587 | |||||
4,500 |
WHITING PETROLEUM CORP COM STK USD0.001
|
527,355 | |||||
48,303 |
WHOLE FOODS MARKET INC COM STK NPV
|
2,443,649 | |||||
17,500 |
WILLIAMS-SONOMA INC COM STK USD0.01
|
624,575 | |||||
11,085 |
WILLIS GROUP HLDGS PLC ORD SHS USD0.000115
|
386,756 | |||||
10,615 |
WORLD FUEL SERVICES CORP COM STK USD0.01
|
384,236 | |||||
1,700 |
WSFS FINANCIAL CORP COM STK USD0.01
|
80,648 | |||||
7,700 |
WYNDHAM WORLDWIDE USD0.01
|
230,692 | |||||
12,200 |
ZIMMER HOLDINGS INC COM STK USD0.01
|
654,896 | |||||
Total Corporate Stock
|
$ | 494,298,612 | |||||
Corporate Debt Securities
|
|||||||
620,686 |
3197 DZ 0.000% 15/AUG/2036
|
$ | 645,364 | ||||
75,000 |
ABBOTT LABORATORIES 5.125% SRN 01/APR/2019 USD2000
|
83,541 | |||||
125,000 |
ALTRIA GROUP INC 8.5% NTS 10/NOV/2013 USD1000
|
149,460 | |||||
100,000 |
AMERICAN EXPRESS CO 7.25% LN STK 20/MAY/2014
|
114,749 | |||||
50,000 |
ANADARKO PETROLEUM CORP 5.95% SNR NTS 15/SEP/2016
|
54,590 |
75,000 |
ARCELORMITTAL SA 9% LN STK 15/FEB/2015 USD1000
|
91,816 | |||||
123,000 |
AT&T INC 5.35% BDS 01/SEP/2040 USD1000 144A
|
117,853 | |||||
350,000 |
BANK OF AMERICA CORP 5.65% BDS 01/MAY/2018 USD5000
|
360,916 | |||||
125,000 |
BANK OF NEW YORK MELLON CORP 4.95% BDS 01/NOV/2012
|
135,148 | |||||
75,000 |
BARCLAYS BANK PLC 5.00% 22/SEP/2016
|
80,396 | |||||
100,000 |
BAY AREA TOLL AUTH CALIF 6.263% BDS 01/APR/2049
|
100,373 | |||||
238,439 |
BAYVIEW COMMERCIAL ASSET TRUST 2005-3A A1 VAR
|
197,688 | |||||
138,399 |
BAYVIEW COMMERCIAL ASSET TRUST 2005-4 A-2 14
|
99,866 | |||||
125,000 |
BEAR STEARNS CO 7.25% BDS 01/FEB/2018 USD1000
|
151,909 | |||||
100,000 |
BEAR STEARNS COMM MTG SEC 2005-T20 A4A
|
108,068 | |||||
305,000 |
BEAR STEARNS COMMERCIAL MORTGAGE SECURITIES TRUST
|
327,773 | |||||
25,000 |
BERKSHIRE HATHAWAY FINANCE CORP 5.4% SNR NOTE
|
27,599 | |||||
125,000 |
BERKSHIRE HATHAWAY FINANCE CORP 5% GTD SNR NTS
|
138,801 | |||||
50,000 |
CALIFORNIA ST FOR PREVIOUS ISSUES SEE 13063A
|
53,065 | |||||
50,000 |
CALIFORNIA STATE 7.55% BDS 01/APR/2039 USD5000
|
52,801 | |||||
125,000 |
CITIGROUP INC 6.125% NTS 15/MAY/2018 USD1000
|
137,919 | |||||
150,000 |
CITIGROUP INC 6% SNR NT 15/AUG/2017 USD1000
|
166,105 | |||||
75,000 |
CITIGROUP INC 8.125% BDS 15/JUL/2039 USD1000
|
98,220 | |||||
25,000 |
CITIGROUP INC 8.50% BDS 22/MAY/2019 USD1000
|
31,266 | |||||
75,000 |
COCA-COLA ENTERPRISES INC 7.375% NTS 03/MAR/2014
|
89,243 | |||||
75,000 |
COMCAST CORP 5.875% BD15/FEB/2018 USD1000
|
84,932 | |||||
75,000 |
COMCAST CORP 6.4% BDS 01/MAR/2040 USD2000
|
81,990 | |||||
15,512 |
CONTINENTAL AIRLINES INC 7.707% BDS 02/OCT/2022
|
17,591 | |||||
125,000 |
CREDIT SUISSE AG 5.5% MTN 01/MAY/2014 USD1000
|
138,227 | |||||
50,000 |
CVS CAREMARK CORP 6.6% BDS 15/MAR/2019 USD1000
|
59,515 | |||||
75,000 |
DAIMLERCHRYSLER NA HOLDINGS CORPORATION 6.5%
|
85,528 | |||||
100,000 |
DUKE REALTY CORP 5.875% 15/AUG/2012
|
107,674 | |||||
100,000 |
ENTERGY TEX INC 3.6% BDS 01/JUN/2015 USD1000
|
102,421 | |||||
330,000 |
FED FARM CREDIT FR DEB 08/AUG/2012 USD1000
|
329,912 | |||||
100,000 |
FIRST CHICAGO NBD CORP FLTG RATE NOTES 01/FEB/2027
|
79,187 | |||||
75,000 |
GENERAL ELEC CAP CORP 5.50% 08/JAN/2020
|
82,194 | |||||
75,000 |
GENERAL ELECTRIC CAPITAL CORP 4.8% MTN 01/MAY/2013
|
80,782 | |||||
18,000 |
GENERAL MILLS INC 5.65% NTS 10/SEP/2012 USD1000
|
19,689 | |||||
36,000 |
GENERAL MILLS INC 6% NOTES 15/FEB/2012 USD1000
|
38,775 | |||||
125,000 |
GOLDMAN SACHS GROUP INC 5.375% 15/MAR/2020
|
131,148 | |||||
50,000 |
GOLDMAN SACHS GROUP INC 6.00% 15/JUN/2020
|
54,167 | |||||
175,000 |
GOLDMAN SACHS GROUP INC 6.15% BDS 01/APR/2018
|
195,399 | |||||
355,000 |
GREENWICH CAPITAL COMMERCIAL FUNDING CORP 5.444%
|
375,631 | |||||
185,000 |
HCP INC BDS 15/SEP/2016 USD1000
|
202,717 | |||||
125,000 |
HEALTH CARE REIT INC 6.125% BDS 15/APR/2020
|
133,199 | |||||
50,000 |
HEALTHCARE REALTY TRUST INC 6.5% SNR NTS
|
55,403 | |||||
50,000 |
HYDRO-QUEBEC 6.3% NTS 11/MAY/2011 USD1000
|
51,467 | |||||
50,000 |
ILLINOIS (STATE OF) 4.071% BDS 01/JAN/2014 USD5000
|
51,355 | |||||
75,000 |
ILLINOIS ST FOR ISSUES DTD PRIOR TO 07/01/2002 SEE
|
76,769 | |||||
50,000 |
IUNITED DOMINION RLTY TR
|
53,428 | |||||
75,000 |
JOHN DEERE CAPITAL CORP 4.9% MTN 09/OCT/2013
|
82,930 | |||||
50,000 |
JP MORGAN CHASE BK NEW YORK NY 6% BDS 01/OCT/2017
|
56,178 | |||||
50,000 |
JPM CHASE CAPITAL XXV 7% BDS 01/NOV/2039 USD1000
|
52,935 | |||||
100,000 |
JPMORGAN CHASE & CO FR CAP SECS 'U' 15/JAN/2087
|
77,477 | |||||
75,000 |
KINDER MORGAN ENERGY PARTNERS 6.95% BDS
|
83,899 | |||||
50,000 |
KONINKLIJKE KPN NV 8.375% BDS 01/OCT/2030 USD1000
|
66,050 | |||||
150,000 |
KOREA DEVELOPMENT BANK 8% BDS 23/JAN/2014 USD1000
|
176,492 | |||||
75,000 |
KROGER CO 7.5% BDS 15/JAN/2014 USD1000
|
89,065 | |||||
100,000 |
LIBERTY PROP LP 53117CAJ1 5.125 02/MAR/2015
|
107,021 | |||||
75,000 |
MCKESSON HBOC INC 5.7% BDS 01/MAR/2017 USD1000
|
84,725 | |||||
75,000 |
MIDAMERICAN ENERGY HLDGS 6.125% BDS 01/APR/2036
|
82,163 | |||||
125,000 |
MORGAN STANLEY 5.45% NTS 09/JAN/2017 USD1000
|
132,882 | |||||
125,000 |
MORGAN STANLEY 6.6250% 01/APR/2018
|
137,666 | |||||
50,000 |
MORGAN STANLEY 7.3% BDS 13/MAY/2019 USD100000
|
56,769 | |||||
220,000 |
MORGAN STANLEY CAPITAL I TRUST FR CMO 12/NOV/2049
|
237,232 | |||||
25,000 |
NATIONAL RURAL UTILITIES CO-OP 8% NTS 01/MAR/2032
|
32,314 | |||||
50,000 |
NBC UNIVERSAL INC 5.15% BDS 30/APR/2020
|
52,268 | |||||
179,168 |
NCUA GUARANTEED NOTES TRUST 2010-R2 II-A VARIABLE
|
178,136 |
160,000 |
NCUA GUARANTEED NOTES TRUST 2010-R3 I-A VARIABLE
|
159,884 | |||||
140,000 |
NCUA GUARANTEED NOTES TRUST 2010-R3 II-A VARIABLE
|
139,906 | |||||
353,570 |
NCUA GUARN NTS TR 2010-R2 I-A 06/NOV/2017 FLT
|
353,610 | |||||
349,395 |
NCUA TR 2010-R1 FR MTG BDS 07/OCT/2020 USD 2010-R1
|
349,125 | |||||
175,000 |
NEW YORK N Y CITY MUN WTR FIN AUTH 6.011% BDS
|
175,308 | |||||
25,000 |
NEWS AMERICA INC 6.15% SNR NTS 01/MAR/2037 USD1000
|
26,577 | |||||
50,000 |
NEWS AMERICA INC 6.4% SNR NTS 15/DEC/2035 USD1000
|
53,862 | |||||
50,000 |
ONTARIO(PROVINCE OF) 5.45% BDS 27/APR/2016 USD5000
|
57,347 | |||||
100,000 |
PANHANDLE EASTERN PIPE LINE CO 7% SNR NTS
|
111,282 | |||||
25,000 |
PETROBRAS INTERNATIONAL FINANCE 6.875% BDS
|
27,029 | |||||
75,000 |
PETROBRAS INTERNATIONAL FINANCE 7.875% GTD BDS
|
90,402 | |||||
100,000 |
PRUDENTIAL FINANCIAL INC 6.625% 21/JUN/2040
|
111,765 | |||||
75,000 |
ROHM&HAAS HLDGS 6% 15/SEP/2017
|
83,408 | |||||
100,000 |
ROYAL BANK OF SCOTLAND PLC 4.875% BDS 16/MAR/2015
|
103,714 | |||||
75,000 |
SAFEWAY INC 5.8% 15/AUG/2012
|
82,360 | |||||
50,000 |
SAN DIEGO CNTY CALIF WTR AUTH FING AGY WTR REV SER
|
50,581 | |||||
125,000 |
SIMON PROPERTY GROUP INC 5.875% BDS 01/MAR/2017
|
139,662 | |||||
100,000 |
SOUTHERN COPPER CORP 6.75% BDS 16/APR/2040 USD1000
|
104,956 | |||||
75,000 |
SOUTHERN COPPER CORP 7.5% SNR NTS 27/JUL/2035
|
85,641 | |||||
75,000 |
SOUTHERN POWER COMPANIES 4.875% NTS 15/JUL/2015
|
82,825 | |||||
100,000 |
SPECTRA ENERGY CAPITAL LLC 7.5% BDS 15/SEP/2038
|
119,340 | |||||
150,000 |
TELECOM ITALIA CAPITAL 7.175% BDS 18/JUN/2019
|
160,879 | |||||
140,000 |
TIAA REAL ESTATE VAR BDS 15/AUG/2039 USD10000
|
154,394 | |||||
25,000 |
TIME WARNER CABLE 7.5% SNR NTS 01/APR/2014 USD
|
29,139 | |||||
50,000 |
TIME WARNER CABLE INC 6.2% BDS 01/JUL/2013 USD1000
|
57,082 | |||||
50,000 |
TIME WARNER ENT 8.375% SUB NTS 15/JUL/2033 USD1000
|
65,030 | |||||
100,000 |
TRANSCANADA PIPELINES 6.1% LN STK 01/JUN/2040
|
110,586 | |||||
125,000 |
VALERO ENERGY CORP 9.375% BDS 15/MAR/2019 USD1000
|
158,611 | |||||
75,000 |
VERIZON COMMUNICATIONS INC 6.9% BDS 15/APR/2038
|
88,569 | |||||
75,000 |
VIACOM INC 6.25% 30/APR/2016
|
86,146 | |||||
100,000 |
WASTE MANAGEMENT INC 7% SNR NOTES 13/JUL/2028
|
118,363 | |||||
75,000 |
WELLPOINT INC 7.00% BDS 15/FEB/2019 USD1000
|
90,269 | |||||
50,000 |
WELLS FARGO COMPANY 4.375% 31/JAN/2013
|
53,830 | |||||
100,000 |
XEROX CORP 5.5% SNR NTS 15/MAY/2012 USD1000
|
106,324 | |||||
Total Corporate Debt Securities
|
$ | 11,877,637 | |||||
Government Bonds
|
|||||||
75,000 |
ISRAEL ST BD DTD 13/JUN/2003 DUE 15/JUN/2013
|
$ | 80,450 | ||||
125,000 |
REPUBLIC OF POLAND 6.25% DUE 03/JUL/2012
|
136,522 | |||||
50,000 |
UNITED DOM RLTY 5.13%15/JAN/2014
|
52,697 | |||||
890,000 |
UNITED STATES OF AMER TREAS BONDS 3.625% BDS
|
935,839 | |||||
220,000 |
UNITED STATES OF AMER TREAS NOTES VAR 15/JAN/2012
|
287,529 | |||||
60,000 |
UNITED STATES TREAS BDS 4.375% 15/MAY/2040
|
60,631 | |||||
270,000 |
UNITED STATES TREAS NTS 0.875% 30/APR/2011
|
271,016 | |||||
225,000 |
UNITED STATES TREAS NTS 1.250% 31/OCT/2015
|
218,239 | |||||
1,350,000 |
UNITED STATES TREAS NTS 1.875% 31/AUG/2017
|
1,297,183 | |||||
100,000 |
UNITED STATES TREAS NTS 3.375% 15/NOV/2019
|
102,524 | |||||
125,000 |
UNITED STATES TREAS NTS TIPS 3.5% 15/JAN/2011
|
159,793 | |||||
125,000 |
US BANCORP 4.2% NTS 15/MAY/2014 USD1000
|
134,198 | |||||
2,000,000 |
US Treasury Note - .875%, 1/31.2010 (912828JY7)
|
2,001,112 | |||||
Total Government Bonds
|
$ | 5,737,733 | |||||
Mortgage Backed Securities
|
|||||||
165,000 |
COMMERCIAL MORTGAGE TRUST FR CMO 10/JUL/2038
|
$ | 180,824 | ||||
1,309,303 |
FANNIE MAE 2004-97 ZH 4.500% 25/JAN/2035
|
1,323,564 | |||||
70,000 |
FED AGRIC MTG CORP 3.875% MTN 19/AUG/2011 USD
|
72,535 | |||||
325,000 |
FED HOME LOAN BK 0.37% DEB 16/NOV/2011 USD
|
325,172 | |||||
325,000 |
FED HOME LOAN BK 0.4% DEB 02/DEC/2011 USD1000
|
324,785 | |||||
585,343 |
FED HOME LOAN MTG 5.5% MBPT 01/JAN/2038 USD1000
|
627,194 | |||||
660,000 |
FED HOME LOAN MTG FR MTN 12/OCT/2012 USD1000
|
662,121 | |||||
325,000 |
FED NATL MORT ASSC FR NTS 23/NOV/2012 USD1000
|
325,406 | |||||
570,000 |
FEDERAL HOME LOAN BANKS 0.5% BDS 16/MAY/2012
|
568,865 |
450,000 |
FEDERAL HOME LOAN BANKS CONS BD FLT 11 15/JUN/2011
|
450,201 | |||||
375,000 |
FEDERAL HOME LOAN MORTGAGE CORP 1.4% NTS
|
377,430 | |||||
330,000 |
FEDERAL NATIONAL MORTGAGE ASSOC 0.2835% BDS
|
330,217 | |||||
460,000 |
FEDERAL NATIONAL MORTGAGE ASSOC 1% NTS 29/MAR/2013
|
461,622 | |||||
692,322 |
FEDERAL NATIONAL MORTGAGE ASSOC 5% MBPT
|
735,120 | |||||
511,009 |
FEDERAL NATIONAL MORTGAGE ASSOCIATION 5.0% POOL
|
542,598 | |||||
170,000 |
FEDERAL NATIONAL MORTGAGE ASSOC 0% BDS 11/JUL/2011
|
169,721 | |||||
123,178 |
FHLMC MORTPASS ARM 01/APR/2037 1N PN# 1N1454
|
132,175 | |||||
180,929 |
FHLMC MORTPASS ARM 01/FEB/2037 1G PN# 1G2628
|
193,891 | |||||
75,614 |
FHLMC MORTPASS ARM 01/SEP/2037 1G PN# 1G2201
|
82,013 | |||||
531,404 |
FHLMCGLD MORTPASS 5.5% 01/NOV/2037 G0 PN# G03695
|
570,395 | |||||
383,517 |
FHLMCGLD MORTPASS 6.5% 01/MAY/2034 P5 PN# P50216
|
428,376 | |||||
333,140 |
FNMA MORTPASS 4.5% 01/JUL/2029 CT PN# MA0115
|
346,884 | |||||
864,157 |
FNMA MORTPASS 4.5% 01/MAY/2048 CZ PN# 257280
|
882,437 | |||||
900,427 |
FNMA MORTPASS 4% 01/AUG/2029 CT PN# MA0142
|
915,401 | |||||
178,837 |
FNMA MORTPASS 5.5% 01/JUN/2036 CL PN# 889745
|
193,588 | |||||
673,618 |
FNMA MORTPASS 5% 01/AUG/2047 CZ PN# 995963
|
705,162 | |||||
655,136 |
FNMA MORTPASS 5% 01/SEP/2033 CL PN# 738567
|
695,635 | |||||
271,672 |
FNMA MORTPASS 6.5% 01/AUG/2037 CL PN# 936879
|
305,586 | |||||
345,000 |
FREDDIE MAC 1.875% 08/MAR/2013
|
347,914 | |||||
1,400,000 |
FREDDIE MAC 3048 QJ 5.000% 15/OCT/2025
|
1,468,008 | |||||
312,523 |
FREDDIE MAC 3345 FN,07- VARIABLE 15/NOV/2036
|
311,525 | |||||
311,912 |
FREDDIE MAC 3345 PF VARIABLE 15/MAY/2036
|
310,873 | |||||
95,000 |
JP MORGAN CHASE COMMERCIAL MORTGAGE SEC 2007-LDPX
|
99,235 | |||||
Total Mortgage Backed Securities
|
$ | 15,466,473 | |||||
Registered Investment Companies
|
|||||||
4,493 |
ABERDEEN OPTIMAL ALLOCATION DEF A
|
47,310 | |||||
2,173 |
ABSOLUTE STRATEGIES INSTITUTIONAL
|
23,552 | |||||
182 |
ACADIAN EMERGING MARKETS PORT INSTL
|
3,684 | |||||
2,655 |
AKRE FOCUS FUND RETAIL
|
32,180 | |||||
1,486 |
ALLIANCEBER INTL VALUE ADVISOR
|
20,690 | |||||
413 |
ALLIANZ NFJ INTL VALUE FD CLASS D
|
8,555 | |||||
498 |
ALLIANZ NFJ SMALL CAP VALUE CLASS D
|
14,568 | |||||
6,614 |
ALLIANZ RCM GLOBAL WATER FUND CL D
|
62,567 | |||||
1,806 |
ALLIANZ RCM TECHNOLOGY CL D
|
84,432 | |||||
7,655 |
ALPINE DYNAMIC DIVID FUND
|
36,821 | |||||
2,260 |
ALPINE INTERNATIONAL REAL ESTATE EQUITY Y
|
58,616 | |||||
2,240 |
ALPINE REALTY INCOME & GROWTH Y
|
33,495 | |||||
1,128 |
AMANA DEVELOPING WORLD FUND
|
12,289 | |||||
35,560 |
AMANA MUTUAL FUND TRUST GROWTH
|
879,041 | |||||
9,540 |
AMANA MUTUAL FUND TRUST INCOME
|
303,170 | |||||
112 |
AMER CENTURY ZERO COUPON 2015 INVT CL
|
11,745 | |||||
248 |
AMERICAN BALANCED CLASS R3
|
4,424 | |||||
1,734 |
AMERICAN BALANCED CL R5
|
31,111 | |||||
1,943 |
AMERICAN BEACON BALANCED INVST
|
23,490 | |||||
925 |
AMERICAN BEACON EMRG MARKETS INVESTOR
|
13,730 | |||||
4,213 |
AMERICAN BEACON LARGE CAP INVESTOR
|
78,058 | |||||
5,609 |
AMERICAN BOND FUND OF AMERICA CL R3
|
68,377 | |||||
866 |
AMERICAN BOND FUND OF AMERICA CL R5
|
10,560 | |||||
2,572 |
AMERICAN CAPITAL INCOME BUILDER CL A
|
128,386 | |||||
435 |
AMERICAN CAPITAL INCOME BUILDER CL F1
|
21,721 | |||||
254 |
AMERICAN CAPITAL INCOME BUILDER CL R3
|
12,679 | |||||
388 |
AMERICAN CAPITAL INCOME BUILDER R4
|
19,369 | |||||
823 |
AMERICAN CAPITAL INCOME BUILDER R5
|
41,077 | |||||
1,660 |
AMERICAN CAPITAL WOR LD BOND FD R5
|
33,904 | |||||
79 |
AMERICAN CAPITAL WORLD GRTH & INC A
|
2,817 | |||||
402 |
AMERICAN CAPITAL WORLD GRWTH & INC F1
|
14,351 | |||||
1,322 |
AMERICAN CAPITAL WORLD GRWTH & INC R5
|
47,222 | |||||
3,594 |
AMERICAN CENTURY CAPITAL VAL INV SHR
|
21,637 | |||||
1,942 |
AMERICAN CENTURY DIVERSIFIED BOND
|
20,898 | |||||
9,544 |
AMERICAN CENTURY EMERGING MARKETS INV
|
85,704 | |||||
1,068 |
AMERICAN CENTURY EQUITY GROWTH
|
22,329 |
29,201 |
AMERICAN CENTURY EQUITY INCOME
|
210,537 | |||||
5,621 |
AMERICAN CENTURY GLOBAL GOLD
|
146,596 | |||||
1,878 |
AMERICAN CENTURY HERITAGE
|
39,403 | |||||
1,388 |
AMERICAN CENTURY HIGH YIELD INV FD
|
8,481 | |||||
18,718 |
AMERICAN CENTURY INFLATION ADJ TREAS
|
220,867 | |||||
381 |
AMERICAN CENTURY INTERNATIONAL BOND
|
5,260 | |||||
3,918 |
AMERICAN CENTURY LIVESTRONG 2025 INV
|
45,639 | |||||
397 |
AMERICAN CENTURY MID CAP VALUE INV SHS
|
4,993 | |||||
241 |
AMERICAN CENTURY ONE CHOICE VERY AGGR INV
|
2,922 | |||||
427 |
AMERICAN CENTURY REAL ESTATE
|
7,840 | |||||
3,223 |
AMERICAN CENTURY UTILITIES
|
47,857 | |||||
1,591 |
AMERICAN CENTURY VISTA
|
26,578 | |||||
363 |
AMERICAN EUROPACIFIC GROWTH CLASS A
|
15,003 | |||||
455 |
AMERICAN EUROPACIFIC GROWTH CLASS F1
|
18,712 | |||||
200 |
AMERICAN EUROPACIFIC GROWTH CL R4
|
8,121 | |||||
908 |
AMERICAN EUROPACIFIC GROWTH CL R5
|
37,496 | |||||
10,446 |
AMERICAN EUROPACIFIC GROWTH FUND CL F2
|
431,739 | |||||
945 |
AMERICAN FUNDAMENTAL INVESTORS CL F1
|
34,678 | |||||
3,525 |
AMERICAN FUNDAMENTAL INVESTORS R5
|
129,413 | |||||
620 |
AMERICAN GROWTH FUND OF AMERICA CLASS A
|
18,858 | |||||
4,056 |
AMERICAN GROWTH FUND OF AMERICA CLASS F1
|
122,657 | |||||
142 |
AMERICAN GROWTH FUND OF AMERICA CL R3
|
4,255 | |||||
166 |
AMERICAN GROWTH FUND OF AMERICA CL R4
|
5,013 | |||||
4,546 |
AMERICAN GROWTH FUND OF AMERICA CL R5
|
138,145 | |||||
185 |
AMERICAN HIGH INCOME TRUST CLASS R5
|
2,080 | |||||
5,003 |
AMERICAN HIGH INCOME TRUST R3
|
56,388 | |||||
6,228 |
AMERICAN INCOME FUND OF AMERICA CLASS A
|
103,068 | |||||
575 |
AMERICAN INCOME FUND OF AMERICA R5
|
9,517 | |||||
296 |
AMERICAN INCOME FUND OF AMER R1
|
4,874 | |||||
884 |
AMERICAN INTERMED BOND R4
|
11,870 | |||||
172 |
AMERICAN INTERNATL GROWTH & INCOME CL A
|
5,365 | |||||
287 |
AMERICAN INVESTMENT CO OF AMERICA CL R4
|
8,066 | |||||
7,642 |
AMERICAN MONEY MARKET CLASS A
|
7,642 | |||||
4,018 |
AMERICAN NEW PERSPECTIVE CLASS A
|
114,994 | |||||
537 |
AMERICAN NEW PERSPECTIVE CL F2
|
15,340 | |||||
1,221 |
AMERICAN NEW WORLD FUND CL F2
|
66,607 | |||||
348 |
AMERICAN NEW WORLD FUND R5
|
19,019 | |||||
397 |
AMERICAN SMALLCAP WORLD CLASS C
|
14,520 | |||||
143 |
AMERICAN SMALLCAP WORLD CLASS F1
|
5,529 | |||||
1,168 |
AMERICAN WORLD GROWTH INCOME CL R3
|
41,504 | |||||
1,811 |
AQR DIVERSIFIED ARBITRAGE CLASS N
|
20,117 | |||||
50 |
ARIEL APPRECIATION
|
2,100 | |||||
237 |
ARTIO GLOBAL HIGH INCOME FUND CL A
|
2,517 | |||||
2,726 |
ARTIO INTERNATIONAL EQUITY FUND II CL A
|
33,779 | |||||
1,728 |
ARTIO TOTAL RETURN BOND FUND CL A
|
23,361 | |||||
1,410 |
ARTIO US SMALLCAP FUND CL A
|
15,807 | |||||
4,582 |
ARTISAN INTERNAT'L INVESTOR CLASS
|
99,435 | |||||
213 |
ARTISAN INTL VALUE FUND INV CL
|
5,780 | |||||
611 |
ARTISAN SMALL CAP VALUE
|
10,297 | |||||
1,015 |
ARTISAN VALUE FUND
|
9,697 | |||||
1,155 |
ASTON/OPTIMUM MID CAP CL N
|
36,905 | |||||
1,578 |
ASTON/TAMRO DIVERSIFIED EQUITY N
|
20,297 | |||||
1,081 |
AVE MARIA OPPORTUNITY FUND
|
11,730 | |||||
943 |
BAIRD AGGREGATE BOND FUND INVESTOR CL
|
10,179 | |||||
868 |
BAIRD INTERMEDIATE MUNI BOND INVS CL
|
10,009 | |||||
1,567 |
BARON ASSET
|
86,607 | |||||
688 |
BARON GROWTH
|
35,245 | |||||
3,271 |
BARON PARTNERS FUND
|
67,280 | |||||
3,534 |
BARON SMALL CAP FD
|
84,030 | |||||
1,556 |
BEAR PRO FUND INVESTORS SHARES
|
31,334 | |||||
5,072 |
BERWYN INCOME FUND
|
67,258 | |||||
1,302 |
BLACK ROCK ALL CAP ENERGY & RESOURCES C
|
20,379 | |||||
776 |
BLACKROCK ENERGY & RESOURCES A
|
30,486 |
905 |
BLACKROCK ENERGY & RESOURCES PORT CL C
|
26,487 | |||||
2,237 |
BLACKROCK EQUITY DIVIDEND FD SRV CL
|
39,200 | |||||
353 |
BLACKROCK GLOBAL ALLOCATION FD CL C
|
6,395 | |||||
2,419 |
BLACKROCK LARGE CAP CORE FD-INSTL
|
26,946 | |||||
51 |
BLACKROCK LATIN AMERICA FD CL A
|
3,809 | |||||
49 |
BLACKROCK LATIN AMERICA FD CL C
|
3,399 | |||||
84 |
BLACKROCK NATURAL RESOURCES TR CL A
|
5,367 | |||||
2,629 |
BOSTON PARTNERS LONG SHORT EQUITY FD
|
50,372 | |||||
531 |
BRANDYWINE
|
14,090 | |||||
3,616 |
BRANDYWINE BLUE
|
92,704 | |||||
8,584 |
BRIDGEWAY AGGRESSIVE INVESTOR 2
|
120,952 | |||||
785 |
BRIDGEWAY LARGE CAP GROWTH CL N
|
9,752 | |||||
3,792 |
BRIDGEWAY SMALL CAP GROWTH CL N
|
41,786 | |||||
617 |
BRIDGEWAY SMALL CAP VALUE FUND CL N
|
8,432 | |||||
3,502 |
BRIDGEWAY ULTRA SMALL CO MARKET
|
51,726 | |||||
614 |
BROWN CAPITAL MGMT SMALL COMPANY INST.
|
26,848 | |||||
1,798 |
BUFFALO HIGH YIELD
|
20,241 | |||||
3,945 |
BUFFALO MID CAP FUND
|
66,713 | |||||
1,582 |
BUFFALO SMALL CAP GROWTH
|
41,462 | |||||
1,012 |
CAN SLIM SELECT GROWTH FUND
|
11,767 | |||||
3,746 |
CHINA REGION FUND
|
35,471 | |||||
297 |
CLIPPER
|
18,391 | |||||
1,190 |
COHEN & STEERS REALTY SHARES
|
69,557 | |||||
5,725 |
COLUMBIA ACORN CLASS Z
|
172,851 | |||||
939 |
COLUMBIA ACORN INTERNATIONAL CL Z
|
38,436 | |||||
4,940 |
COLUMBIA DIVIDEND INCOME FUND CL Z
|
64,519 | |||||
1,263 |
COLUMBIA EMERGING MARKETS CLASS Z
|
14,496 | |||||
1,695 |
COLUMBIA ENERGY AND NATURAL RESOURCES Z
|
39,299 | |||||
345 |
COLUMBIA INTL VALUE FUND CLASS Z
|
4,872 | |||||
1,147 |
COLUMBIA MID CAP CORE FD CL Z
|
18,874 | |||||
1,005 |
COLUMBIA MID CAP GROWTH CL Z
|
26,761 | |||||
1,792 |
COLUMBIA SELECT LRG CAP GROWTH CLASS Z
|
22,602 | |||||
3,332 |
COLUMBIA SHORT TERM BOND Z
|
33,091 | |||||
613 |
COLUMBIA SMALL CAP GROWTH I CL Z
|
19,366 | |||||
1,851 |
COLUMBIA SMALL CAP VALUE FD II Z
|
25,473 | |||||
213 |
COLUMBIA SMALL CAP VALUE II CL A
|
2,908 | |||||
3,761 |
COLUMBIA VALUE AND RESTRUCTURING CL Z
|
189,986 | |||||
3,168 |
CROFT VALUE FUND
|
73,979 | |||||
1,740 |
DAVIS NEW YORK VENTURE CLASS A
|
59,752 | |||||
5,410 |
DAVIS NEW YORK VENTURE INSTL CL Y
|
187,675 | |||||
3,746 |
DELAWARE SMID CAP GROWTH CLASS I
|
90,472 | |||||
1,109 |
DIAMOND HILL LONG SHORT CLASS C
|
17,040 | |||||
48 |
DIREIXION MONTHLY CHINA BULL 2X INV
|
2,430 | |||||
195 |
DIREXION MONTHLY 10 YR NOTE BULL 2X INV
|
5,000 | |||||
149 |
DIREXION MONTHLY COM BULL 2X INVT
|
10,706 | |||||
34 |
DIREXION MONTHLY DEV MKT BEAR 2X INV
|
533 | |||||
296 |
DIREXION MONTHLY DOLLAR BEAR 2X INV
|
6,222 | |||||
1,409 |
DIREXION MONTHLY DOLLAR BULL 2X INV
|
37,316 | |||||
343 |
DIREXION MONTHLY LATIN AM BULL 2X INV
|
23,367 | |||||
1,386 |
DIREXION MONTHLY NASDAQ 100BEAR2X INV
|
16,942 | |||||
519 |
DIREXION MONTHLY S&P 500 BEAR 2X INV
|
15,928 | |||||
46 |
DODGE & COX BALANCE
|
3,253 | |||||
1,978 |
DODGE & COX GLOBAL STOCK FUND
|
17,605 | |||||
18,252 |
DODGE & COX INCOME
|
241,468 | |||||
15,685 |
DODGE & COX INTERNATL STOCK FUND
|
560,098 | |||||
340 |
DODGE & COX STOCK
|
36,642 | |||||
518 |
DREYFUS BOND MARKET INDEX INVS
|
5,463 | |||||
130 |
DREYFUS EMERGING ASIA FUND C
|
1,630 | |||||
83 |
DREYFUS EMERGING ASIA FUND INVT CLASS
|
1,075 | |||||
1,900 |
DREYFUS GREATER CHINA CL C
|
86,737 | |||||
1,114 |
DREYFUS GREATER CHINA CL I
|
57,523 | |||||
120 |
DREYFUS INTERNTL BOND FD C
|
1,911 | |||||
2,566 |
DREYFUS INTERTNAT'L BOND FUND CL I
|
41,648 |
1,001 |
DRIEHAUS EMERGING MARKETS
|
32,250 | |||||
148 |
DWS DREMAN SMALL CAP VALUE CL S
|
5,511 | |||||
470 |
DWS DREMAN SMALL CAP VALUE INSTL CL
|
17,564 | |||||
3,132 |
DWS ENHANCED COMMODITY STRATEGY S
|
13,783 | |||||
2,631 |
DWS SHORT DURATION PLUS FUND CL S
|
25,022 | |||||
4,982 |
DYNAMIC ENERGY INCOME FUND CLASS I
|
69,498 | |||||
1,806 |
DYNAMIC US GROWTH FUND CLASS I
|
33,801 | |||||
1,734 |
EASTERN EUROPEAN FUND
|
18,745 | |||||
1,173 |
EATON VANCE LARGE-CAP VALUE CL A
|
21,373 | |||||
2,353 |
EMBARCADERO ABSOLUTE RETURN
|
4,682 | |||||
1,072 |
EMBARCADERO MARKET NEUTRAL
|
4,480 | |||||
1,438 |
EV PARAMETRIC TAX MGD EMERGING MKTS I
|
73,505 | |||||
34,145 |
FAIRHOLME FUND
|
1,214,886 | |||||
219 |
FAM VALUE
|
9,933 | |||||
316 |
FBR FOCUS FUND
|
15,758 | |||||
193 |
FBR LARGE CAP FINANCIAL
|
2,710 | |||||
411 |
FBR SMALL CAP FINANCIAL
|
8,171 | |||||
202 |
FEDERATED CAPITAL APPRECIATION FD R
|
3,803 | |||||
7,896 |
FEDERATED HIGH YIELD INSTL FUND
|
46,747 | |||||
1,780 |
FEDERATED PRUDENT BEAR FUND CLASS A
|
8,418 | |||||
428 |
FEDERATED PRUDENT DOLLARBEAR CL A
|
5,500 | |||||
154 |
FIDELITY ADVISOR EMERGING ASIA CL I
|
5,113 | |||||
82 |
FIDELITY ADVISOR ENERGY CLASS T
|
3,026 | |||||
109 |
FIDELITY ADVISOR FOCUS ENERGY CL I
|
4,079 | |||||
190 |
FIDELITY ADVISOR HIGH INCOME ADV CL I
|
1,791 | |||||
847 |
FIDELITY BALANCED
|
15,449 | |||||
691 |
FIDELITY BLUE CHIP GROWTH
|
31,325 | |||||
4,820 |
FIDELITY CANADA
|
280,293 | |||||
102 |
FIDELITY CAPITAL APPRECIATION
|
2,574 | |||||
12,693 |
FIDELITY CAPITAL & INCOME
|
119,696 | |||||
7,931 |
FIDELITY CASH RESERVES
|
7,931 | |||||
3,181 |
FIDELITY CHINA REGION
|
103,413 | |||||
3,985 |
FIDELITY CONTRAFUND
|
269,892 | |||||
787 |
FIDELITY DIVERSIFIED INTERNATIONAL
|
23,730 | |||||
1,208 |
FIDELITY DIVIDEND GROWTH
|
34,346 | |||||
888 |
FIDELITY EMERGING ASIA FUND
|
27,187 | |||||
2,569 |
FIDELITY EMERGING MARKETS
|
67,705 | |||||
854 |
FIDELITY ENVIRONMENT & ALTERNATIVE ENERGY
|
15,209 | |||||
122 |
FIDELITY EQUITY INCOME
|
5,413 | |||||
455 |
FIDELITY EUROPE
|
14,242 | |||||
272 |
FIDELITY EUROPE CAPITAL APPRECIATION
|
5,179 | |||||
536 |
FIDELITY EXPORT & MULTINATIONAL
|
11,687 | |||||
7,334 |
FIDELITY FLOATING RATE HIGH INCOME
|
71,802 | |||||
607 |
FIDELITY FREEDOM 2020
|
8,367 | |||||
2,877 |
FIDELITY GLOBAL COMMODITY STOCK FUND
|
49,317 | |||||
1,479 |
FIDELITY GNMA FUND
|
16,968 | |||||
8,913 |
FIDELITY GOVERNMENT INCOME
|
92,964 | |||||
3,286 |
FIDELITY HIGH INCOME
|
29,378 | |||||
1,897 |
FIDELITY INTERN'TL SMALL CAP
|
40,322 | |||||
428 |
FIDELITY INT'L DISCOVERY
|
14,148 | |||||
293 |
FIDELITY INTL SMALL CAP OPP FUND
|
3,049 | |||||
2,498 |
FIDELITY LATIN AMERICA
|
147,468 | |||||
5,960 |
FIDELITY LEVERAGED COMPANY STOCK
|
169,378 | |||||
14,673 |
FIDELITY LOW PRICED STOCK
|
563,139 | |||||
978 |
FIDELITY MEGA CAP STOCK FUND
|
9,772 | |||||
9,982 |
FIDELITY NEW MARKETS INCOME
|
156,220 | |||||
89 |
FIDELITY NORDIC
|
3,051 | |||||
2,755 |
FIDELITY OHIO MUNI INCOME
|
31,347 | |||||
113 |
FIDELITY OTC PORT
|
6,223 | |||||
303 |
FIDELITY OVERSEAS
|
9,830 | |||||
6,296 |
FIDELITY PURITAN
|
112,768 | |||||
2,995 |
FIDELITY REAL ESTATE INCOME
|
31,147 | |||||
4,185 |
FIDELITY REAL ESTATE INVESTMENT
|
107,505 |
277 |
FIDELITY SELECT AUTOMOTIVE
|
12,525 | |||||
16,284 |
FIDELITY SELECT BANKING PORTFOLIO
|
301,417 | |||||
1,577 |
FIDELITY SELECT BROKERAGE & INVS MGT
|
82,737 | |||||
1,004 |
FIDELITY SELECT CHEMICALS
|
95,884 | |||||
102 |
FIDELITY SELECT COMM EQUIPMENT PORT
|
2,704 | |||||
548 |
FIDELITY SELECT COMPUTERS
|
30,929 | |||||
265 |
FIDELITY SELECT CONSTRUCTN & HOUSING
|
9,286 | |||||
892 |
FIDELITY SELECT CONSUMER STPLES PORT
|
60,948 | |||||
747 |
FIDELITY SELECT DEFENSE & AEROSPACE
|
54,701 | |||||
482 |
FIDELITY SELECT ELECTRONICS
|
23,330 | |||||
3,042 |
FIDELITY SELECT ENERGY
|
159,043 | |||||
557 |
FIDELITY SELECT ENERGY SERVICE
|
41,433 | |||||
119 |
FIDELITY SELECT FINANCIAL SVCS
|
7,305 | |||||
2,431 |
FIDELITY SELECT GOLD
|
129,108 | |||||
92 |
FIDELITY SELECT HEALTH CARE
|
11,498 | |||||
1,158 |
FIDELITY SELECT INDUSTRIAL EQUIPMENT
|
39,296 | |||||
907 |
FIDELITY SELECT INDUSTRIALS PORT
|
21,465 | |||||
276 |
FIDELITY SELECT LEISURE
|
25,159 | |||||
2,256 |
FIDELITY SELECT MATERIALS PORTFOLIO
|
153,182 | |||||
10 |
FIDELITY SELECT MEDICAL DELIVERY
|
510 | |||||
1,507 |
FIDELITY SELECT MEDICAL EQUIP&SYSTEM
|
41,574 | |||||
7,071 |
FIDELITY SELECT NATURAL GAS
|
235,034 | |||||
1,881 |
FIDELITY SELECT NATURAL RESOURCES
|
65,473 | |||||
209 |
FIDELITY SELECT PHARMACEUTICAL
|
2,579 | |||||
239 |
FIDELITY SELECT SOFTWARE & COMPUTER
|
20,890 | |||||
983 |
FIDELITY SELECT TECHNOLOGY
|
93,984 | |||||
65 |
FIDELITY SELECT TELECOMM
|
3,033 | |||||
520 |
FIDELITY SELECT TRANSPORT
|
28,794 | |||||
675 |
FIDELITY SELECT WIRELESS PORTFOLIOS
|
5,194 | |||||
597 |
FIDELITY SHORT TERM BOND
|
5,054 | |||||
948 |
FIDELITY SMALL CAP DISCOVERY FUND
|
19,397 | |||||
418 |
FIDELITY SMALL CAP GROWTH
|
6,560 | |||||
7,519 |
FIDELITY STRATEGIC INCOME
|
83,381 | |||||
791 |
FIDELITY TELECOM AND UTILITIES FUND
|
12,615 | |||||
1,111 |
FIDELITY TOTAL BOND
|
11,908 | |||||
186 |
FIDELITY TREND
|
12,532 | |||||
70 |
FIDELITY VALUE
|
4,797 | |||||
627 |
FIRST EAGLE GOLD FUND CLASS C
|
20,713 | |||||
1,376 |
FIRSTHAND ALTERNATIVE ENERGY
|
10,000 | |||||
5,091 |
FIRSTHAND TECHNOLOGY OPPORTUNITIES FUND
|
30,798 | |||||
1,432 |
FMI COMMON STOCK
|
35,920 | |||||
315 |
FMI FOCUS FUND
|
9,548 | |||||
13,992 |
FMI LARGE CAP FUND
|
218,415 | |||||
25,573 |
FMI PROVIDENT TRUST STRATEGY FUND
|
219,416 | |||||
2,771 |
FORESTER VALUE FUND
|
33,504 | |||||
1,720 |
FORWARD FRONTIER MARKETSTRAT INV CL
|
21,385 | |||||
812 |
FORWARD INTERNTL SMALL CO INVESTOR CL
|
11,803 | |||||
3,878 |
FPA CRESCENT INSTL
|
103,900 | |||||
6,592 |
FPA NEW INCOME
|
71,520 | |||||
281 |
FRANKLIN GOLD AND PRECIOUS METALS CL C
|
13,724 | |||||
15,189 |
FRANKLIN INCOME CLASS C
|
33,415 | |||||
4,968 |
FRANKLIN STRATEGIC INCOME C
|
51,763 | |||||
162 |
FUNDX CONSERVATIVE UPGRADER FUND
|
5,364 | |||||
328 |
FUNDX FLEXIBLE INCOME FUND
|
10,514 | |||||
2,618 |
GABELLI ASSET FUND AAA
|
128,095 | |||||
926 |
GABELLI EQUITY INCOME FUND
|
18,956 | |||||
169 |
GABELLI SMALL CAP GROWTH
|
5,729 | |||||
17,223 |
GABELLI UTILITIES
|
109,884 | |||||
668 |
GAMCO GLOBAL TELECOMMUNICATIONS
|
13,644 | |||||
2,025 |
GAMCO GOLD FUND
|
72,365 | |||||
1,005 |
GLOBAL EMERGING MARKETS FUND
|
9,214 | |||||
4,693 |
GLOBAL MEGA TRENDS FUND
|
41,436 | |||||
20,078 |
GLOBAL RESOURCES FUND
|
239,130 |
11,113 |
GOLD AND PRECIOUS METALS FUND
|
217,812 | |||||
11,390 |
GOLDMAN SACHS ASSET ALLOC GRWTH STRAT A
|
122,440 | |||||
460 |
GOLDMAN SACHS COMMODITY STRAT FD A
|
2,772 | |||||
1,138 |
GREENSPRING FUND
|
27,522 | |||||
217 |
GRUBB & ELLIS AGA INTERNATL REALTY A
|
3,559 | |||||
3,144 |
GUINNESS ATKINSON ALTERNATIVE ENERGY
|
16,253 | |||||
734 |
GUINNESS ATKINSON ASIA PACIFIC DIV
|
9,841 | |||||
1,492 |
GUINNESS ATKINSON CHINA & HONG KONG
|
57,845 | |||||
3,204 |
GUINNESS ATKINSON GLOBAL ENERGY
|
95,290 | |||||
29,377 |
HARBOR BOND INST
|
355,467 | |||||
633 |
HARBOR CAPITAL APPRECIATION INV CL
|
23,022 | |||||
4,202 |
HARBOR COMMODITY RET STRATEGY FD INSTL CL
|
33,116 | |||||
649 |
HARBOR HIGH YIELD BOND INVESTOR FD
|
7,077 | |||||
1,565 |
HARBOR INTERNATIONAL GROWTH INSTITUTIONAL
|
19,358 | |||||
3,029 |
HARBOR INTERNATIONAL INSTITUTIONAL FD
|
183,399 | |||||
4,328 |
HARBOR INTERNATIONAL INVESTOR SHARES
|
259,678 | |||||
4,483 |
HARBOR REAL RETURN FD INSTL CLASS SHS
|
46,533 | |||||
1,989 |
HARTFORD CAPITAL APPRECIATION CL A
|
68,871 | |||||
137 |
HARTFORD CAPITAL APPRECIATION CL B
|
4,187 | |||||
842 |
HARTFORD CAPITAL APPRECIATION CL C
|
25,879 | |||||
1,426 |
HARTFORD GLOBAL HEALTH CL C
|
20,381 | |||||
365 |
HEARTLAND SELECT VALUE
|
10,652 | |||||
0 |
HEARTLAND VALUE
|
21 | |||||
1,524 |
HEARTLAND VALUE PLUS
|
45,436 | |||||
2,172 |
HENNESSY CORNERSTONE VALUE
|
26,822 | |||||
2,232 |
HENNESSY FOCUS 30 FUND
|
26,985 | |||||
295 |
HIGHMARK LARGE CAP VALUE CLASS C
|
3,344 | |||||
1,797 |
HODGES FUND
|
40,552 | |||||
5,936 |
HUSSMAN STRATEGIC GROWTH
|
72,958 | |||||
2,921 |
HUSSMAN STRATEGIC INTERNATL EQUITY
|
30,200 | |||||
5,151 |
HUSSMAN STRATEGIC TOTAL RETURN
|
62,487 | |||||
4,441 |
ICON ENERGY
|
88,996 | |||||
225 |
ICON EQUITY INCOME CLASS I
|
2,635 | |||||
920 |
ICON FINANCIAL FUND
|
5,596 | |||||
838 |
ICON HEALTHCARE
|
11,311 | |||||
2,432 |
ICON MATERIALS
|
28,263 | |||||
460 |
INDUSTRY LEADERS FUND CL I
|
4,754 | |||||
138 |
ING CORPORATE LEADER TRUST
|
2,791 | |||||
109 |
ING REAL ESTATE FUND CLASS C
|
1,526 | |||||
86 |
ING RUSSIA CL A
|
3,513 | |||||
1,138 |
INTREPID SMALL CAP FUND
|
18,583 | |||||
43 |
INVESCO CHINA FUND CLASS A
|
923 | |||||
432 |
INVESCO COMMODITIES STRATEGY FUND CL A
|
9,456 | |||||
150 |
INVESCO ENERGY CLASS B
|
5,702 | |||||
594 |
INVESCO ENERGY INVESTOR CLASS
|
24,527 | |||||
126 |
INVESCO EUROPEAN GROWTH INVESTORS
|
3,857 | |||||
172 |
INVESCO FINANCIAL SVCS FD INVESTOR CL
|
1,436 | |||||
566 |
INVESCO GOLD & PRECIOUS METALS INV
|
6,115 | |||||
5,561 |
INVESCO INTL CORE EQUITY INV CL
|
63,007 | |||||
1,121 |
INVESCO VAN KAMPEN CAPITAL GROWTH CL C
|
14,052 | |||||
2,275 |
INVESCO VAN KAMPEN COMSTOCK CLASS C
|
35,813 | |||||
6,093 |
INVESCO VAN KAMPEN EQUITY PREMIUM INC A
|
49,659 | |||||
1,752 |
INVESCO VAN KAMPEN REAL ESTATE SEC CL C
|
30,677 | |||||
267 |
IVY ASSET STRATEGY CL C
|
6,348 | |||||
51 |
IVY GLOBAL NATURAL RESOURCES CLASS B
|
981 | |||||
675 |
IVY SCIENCE & TECHNOLOGY CL Y
|
22,146 | |||||
1,121 |
JAMES ADVANTAGE SMALL CAP
|
23,835 | |||||
168 |
JANUS BALANCED FUND CLASS T
|
4,207 | |||||
11,691 |
JANUS CONTRARIAN FUND CLASS T
|
171,046 | |||||
5,267 |
JANUS FLEXIBLE BOND CLASS S
|
54,886 | |||||
1,922 |
JANUS FLEXIBLE BOND FUND CLASS T
|
20,012 | |||||
3,293 |
JANUS FORTY CLASS S
|
109,632 | |||||
336 |
JANUS GLOBAL RESEARCH CLASS T
|
4,914 |
787 |
JANUS GLOBAL SELECT CL R
|
9,308 | |||||
13,790 |
JANUS GLOBAL SELECT CL T
|
163,683 | |||||
6,434 |
JANUS HIGH YIELD CLASS S
|
58,615 | |||||
2,823 |
JANUS HIGH YIELD FUND CLASS T
|
25,660 | |||||
786 |
JANUS LONG/SHORT CLASS C
|
7,916 | |||||
23,130 |
JANUS OVERSEAS FUND CLASS T
|
1,171,318 | |||||
29,725 |
JANUS SHORT TERM BOND FUND CLASS T
|
91,552 | |||||
6,129 |
JANUS TRITON FUND CLASS T SHARES
|
100,642 | |||||
4,500 |
JENSEN PORTFOLIO CLASS J
|
121,937 | |||||
808 |
JOHN HANCOCK REGIONAL BANK CL A
|
11,838 | |||||
1,446 |
JORDAN OPPORTUNITY FUND
|
18,031 | |||||
320 |
JPM HIGHBRIDGE DYNAM COMMODITIES STRGY A
|
6,175 | |||||
680,589 |
JPMORGAN 100% US TREAS MMKT MORGAN
|
680,589 | |||||
127 |
JPMORGAN ASIA EQUITY FD-SELECT CL
|
4,797 | |||||
5,655 |
JPMORGAN HIGH YIELD BOND FUND CLASS A
|
45,974 | |||||
298 |
JP MORGAN INDIA FUND CLASS C
|
5,214 | |||||
2,975 |
JPMORGAN INTERNATL VALUE FUND CLASS A
|
39,482 | |||||
1,641 |
JPMORGAN INTREPID EUROPEAN CLASS A
|
30,835 | |||||
103 |
JP MORGAN RUSSIA FD CL A
|
1,429 | |||||
136 |
JP MORGAN RUSSIA FD CL C
|
1,854 | |||||
11,651 |
JPMORGAN SMART RET 2010 CL C
|
175,117 | |||||
831,753 |
JPMORGAN US GOVT MM KT MORGAN SHS
|
831,753 | |||||
503 |
JPMORGAN US REAL ESTATE CLASS A
|
7,827 | |||||
2,117 |
KEELEY SMALL CAP VALUE CLASS A
|
52,851 | |||||
3,463 |
KINETICS PARADIGM FUND
|
80,731 | |||||
160 |
LAUDUS INTERNATIONAL MARKETMASTERS INV CL
|
3,081 | |||||
591 |
LAZARD DEVELOPING MRKTS EQ CL SHARES
|
8,954 | |||||
12,160 |
LAZARD EMERGING MKTS OPEN CLASS
|
269,824 | |||||
7,761 |
LEUTHOLD ASSET ALLOCATION FD
|
81,411 | |||||
47,102 |
LOOMIS SAYLES BOND RETAIL SHARES
|
669,795 | |||||
2,967 |
LOOMIS SAYLES GLOBAL BOND RETAIL
|
48,834 | |||||
223 |
MADISON MOSAIC INV FD
|
3,688 | |||||
16,381 |
MAINSTAY ICAP SELECT EQUITY FD CL I
|
576,926 | |||||
209 |
MANAGERS EMERGING MARKETS EQUITY
|
3,214 | |||||
42,167 |
MANAGERS PIMCO BOND FUND
|
438,540 | |||||
433 |
MANAGERS SPECIAL EQUITY
|
22,848 | |||||
2,178 |
MANNING & NAPIER EQUITY SERIES
|
41,979 | |||||
1,408 |
MANNING & NAPIER WORLD OPPT SER CL A
|
12,119 | |||||
8,246 |
MARSICO 21ST CENTURY FUND
|
117,591 | |||||
1,479 |
MARSICO FLEXIBLE CAPITAL FUND
|
20,148 | |||||
2,129 |
MARSICO FOCUS
|
38,505 | |||||
7,692 |
MARSICO GROWTH FUND
|
148,910 | |||||
1,154 |
MARSICO INTERNAT'L OPPORTUNITIES
|
15,366 | |||||
4,956 |
MATTHEWS ASIA DIVIDEND FUND
|
71,019 | |||||
2,544 |
MATTHEWS ASIAN GROWTH & INCOME FUND
|
45,901 | |||||
1,414 |
MATTHEWS ASIA PACIFIC FUND
|
25,417 | |||||
3,013 |
MATTHEWS ASIA SCIENCE & TECHNOLOGY
|
29,801 | |||||
2,463 |
MATTHEWS ASIA SMALL COMPANIES FUND
|
52,127 | |||||
3,460 |
MATTHEWS CHINA FUND
|
101,573 | |||||
3,993 |
MATTHEWS INDIA FUND
|
85,801 | |||||
2,504 |
MATTHEWS KOREA FUND
|
12,871 | |||||
955 |
MATTHEWS PACIFIC TIGER FUND
|
22,388 | |||||
535 |
MERGER FUND
|
8,439 | |||||
3,555 |
MERIDIAN VALUE FUND
|
102,749 | |||||
1,013 |
MERK ABSOLUTE RETURN CURRENCY INVESTOR
|
10,391 | |||||
1,748 |
MERK ASIAN CURRENCY FUND - INVESTOR
|
17,151 | |||||
1,494 |
MERK HARD CURRENCY FUND INVESTOR CL
|
18,289 | |||||
2,296 |
METROPOLITAN WEST HIGH YIELD BOND CL M
|
24,521 | |||||
958 |
METROPOLITAN WEST TOT RETURN BOND CL M
|
9,943 | |||||
2,310 |
MFS EMERGING MRKTS DEBT FD CL W
|
33,557 | |||||
2,330 |
MFS INTERNATIONAL DIVERSIFICATION CL C
|
31,012 | |||||
470 |
MFS UTILITIES CLASS C
|
7,687 | |||||
1,914 |
MIDAS FUND
|
10,814 |
299 |
MOBILE TELCOMM ULTRA SECTOR PRO FD INVSTR
|
777 | |||||
71 |
MORGAN STA INST INC. US REAL ESTATE CL I
|
1,016 | |||||
673 |
MUHLENKAMP FUND
|
36,200 | |||||
135 |
MUTUAL SERIES EUROPEAN CLASS Z
|
2,900 | |||||
1,501 |
MUTUAL SERIES FINCL SERVICES CLASS C
|
19,524 | |||||
227 |
MUTUAL SERIES FINCL SERVICES CLASS Z
|
2,948 | |||||
980 |
MUTUAL SERIES GLOBAL DISCOVERY CLASS Z
|
28,932 | |||||
1,823 |
MUTUAL SERIES MUTUAL BEACON CLASS C
|
22,147 | |||||
110 |
MUTUAL SERIES SHARES CLASS Z
|
2,287 | |||||
412 |
NEEDHAM AGGRESSIVE GROWTH
|
7,060 | |||||
2,520 |
NEUBERGER BERMAN GENESIS INVESTOR CL
|
83,722 | |||||
907 |
NEUBERGER BERMAN GENESIS TRUST CLASS
|
43,192 | |||||
142 |
NEUBERGER BERMAN INTERNATIONAL INV CL
|
2,421 | |||||
140 |
NEUBERGER BERMAN PARTNERS INVESTOR
|
3,869 | |||||
942 |
NEUBERGER BERMAN REAL ESTATE TRUST CL
|
10,672 | |||||
2,066 |
NICHOLAS EQUITY INCOME CL I
|
31,781 | |||||
575 |
NORTHERN EMERGING MARKETS EQUITY INDEX
|
7,377 | |||||
596 |
NORTHERN SMALL CAP VALUE
|
9,067 | |||||
2,803 |
OAKMARK EQUITY & INCOME FD I
|
77,742 | |||||
271 |
OAKMARK FUND I
|
11,199 | |||||
5,653 |
OAKMARK GLOBAL FUND I
|
127,074 | |||||
660 |
OAKMARK GLOBAL SELECT FD CL 1
|
7,306 | |||||
8,359 |
OAKMARK INTERNAT'L I
|
162,252 | |||||
1,550 |
OAKMARK INTERNAT'L SMALL CAP I
|
22,276 | |||||
3,040 |
OAKMARK SELECT I
|
83,438 | |||||
5,578 |
OBERWEIS CHINA OPPORTUNITIES FUND
|
92,761 | |||||
162 |
OBERWEIS MICRO CAP FUND
|
1,968 | |||||
1,299 |
OIL EQUIPMENT SCVS & DIST ULTRA INVT CL
|
28,912 | |||||
555 |
OIL & GAS ULTRA SECT PRO FDS -INVESTOR
|
21,447 | |||||
2,306 |
OLD MUTUAL DWIGHT SHORT TRM FIX INC Z
|
23,178 | |||||
692 |
OPPENHEIMER COMMOD STRA TOT RETURN CL A
|
2,534 | |||||
1,014 |
OPPENHEIMER DEV MARKETS CL N
|
35,799 | |||||
360 |
OPPENHEIMER DEV MARKETS FD CLASS A
|
13,134 | |||||
160 |
OPPENHEIMER DEV MARKETS FD CLASS C
|
5,620 | |||||
65 |
OPPENHEIMER GOLD & SPEC MINERALS CL C
|
3,069 | |||||
318 |
OPPENHEIMER GOLD & SPL MINERALS CL N
|
15,407 | |||||
2,835 |
OPPENHEIMER INTERNAT'L BD CL N
|
18,541 | |||||
10,191 |
PARNASSUS EQUITY INCOME PORTFOLIO
|
268,136 | |||||
311 |
PARNASSUS FUND
|
12,598 | |||||
973 |
PARNASSUS SMALL CAP
|
23,309 | |||||
282 |
PAX WORLD GLOBAL GREEN - IND INV CL
|
2,720 | |||||
4,879 |
PAX WORLD HIGH YIELD BOND INDIV INV CL
|
37,765 | |||||
114 |
PERKINS DISCOVERY
|
3,224 | |||||
1,217 |
PERKINS GLOBAL VALUE CLASS T
|
14,824 | |||||
1,385 |
PERKINS MID CAP VALUE CLASS S
|
31,216 | |||||
30,714 |
PERKINS MID CAP VALUE FUND CLASS T
|
693,222 | |||||
4,193 |
PERKINS SMALL CAP VALUE CLASS T
|
100,497 | |||||
7,425 |
PERMANENT PORTFOLIO
|
340,137 | |||||
1,912 |
PERRITT EMERGING OPPORTUNITIES FUND
|
23,229 | |||||
13,305 |
PIMCO COMMODITY REAL RETURN CL D
|
122,140 | |||||
1,842 |
PIMCO DEVELOPING LOCAL MKTS D
|
19,520 | |||||
2,952 |
PIMCO EMERGING LOCAL BOND FUND CL D
|
31,435 | |||||
199 |
PIMCO FOREIGN BOND FUND CL D (UNHEDGED)
|
2,104 | |||||
2,378 |
PIMCO FOREIGN BOND (US $-HEDGED) CL D
|
24,800 | |||||
1,768 |
PIMCO MORTGAGE BACKED SEC FD CL D
|
18,846 | |||||
4,582 |
PIMCO REAL ESTATE REAL RETURN STRAT C
|
18,604 | |||||
7,566 |
PIMCO REAL RETURN CLASS D
|
85,954 | |||||
2,704 |
PIMCO TOTAL RETURN ADMINISTRATIVE SHS
|
29,335 | |||||
921 |
PIMCO TOTAL RETURN CLASS A
|
9,992 | |||||
149,015 |
PIMCO TOTAL RETURN CLASS D
|
1,616,809 | |||||
12,662 |
PIMCO TOTAL RETURN INSTL
|
137,387 | |||||
6,649 |
PIMCO UNCONSTRAINED BOND FUND CL D
|
73,804 | |||||
1,004 |
POLARIS GLOBAL VALUE
|
14,056 |
166 |
PRECIOUS METALS ULTRA SECTOR PRO SVC
|
7,454 | |||||
10,036 |
PRIMECAP ODYSSEY AGGRESSIVE GRWTH FD
|
165,288 | |||||
9,276 |
PRIMECAP ODYSSEY GROWTH FUND
|
142,851 | |||||
1,570 |
PROFUNDS SHORT OIL & GAS INVESTOR CLASS
|
15,871 | |||||
2,979 |
PROFUNDS: SHORT PREC METALS INVESTOR CL
|
17,369 | |||||
1,253 |
PRO FUNDS SHORT REAL ESTATE INVESTOR CL
|
10,200 | |||||
1,269 |
PRO FUNDS ULTRA LATIN AMERICA INVST
|
18,574 | |||||
32 |
PRO FUNDS ULTRASHORT LATIN AMERICA INVST
|
51 | |||||
1,030 |
PRUDENTIAL JENNISON NATURAL RESOURCES Z
|
60,287 | |||||
297 |
PRUDENTIAL JENNISON UTILITY CLASS C
|
3,040 | |||||
728 |
PUTNAM EQUITY INCOME FUND CL Y
|
10,959 | |||||
1,647 |
PUTNAM GLOBAL NATURAL RESOURCE C
|
33,398 | |||||
1,473 |
QUANTITATIVE EMRG MKTS FD-ORDINARY SHS
|
36,145 | |||||
839 |
RAINIER MID CAP EQ PORTFOLIO
|
33,546 | |||||
3,914 |
RBC MICROCAP VALUE FD CL S
|
65,713 | |||||
63 |
REAL ESTATE ULTRA SECTOR PRO FD INVSTR
|
1,347 | |||||
594 |
REYNOLDS BLUE CHIP GROWTH
|
32,525 | |||||
1,509 |
RICE HALL JAMES MICRO CAP PORT INSTL
|
25,185 | |||||
3,520 |
RISING RATES OPPTY PRO FUND INVESTOR
|
43,893 | |||||
349 |
ROYCE GLOBAL VALUE SERVICE CLASS
|
5,080 | |||||
2,149 |
ROYCE LOW PRICED STOCK FD-SERVICE CL
|
39,219 | |||||
714 |
ROYCE MICROCAP INVESTMENT CLASS
|
12,547 | |||||
2,093 |
ROYCE OPPORTUNITY FUND INVEST CLASS
|
25,283 | |||||
7,124 |
ROYCE PENNSYLVANIA MUTUAL INVST CLASS
|
82,993 | |||||
314 |
ROYCE PREMIER FUND INVESTMENT CL
|
6,386 | |||||
978 |
ROYCE PREMIER SVCS CL SH
|
19,634 | |||||
1,509 |
ROYCE SPECIAL EQUITY INVESTMENT CL
|
31,502 | |||||
3,438 |
ROYCE VALUE FUND SERVICE CL
|
43,485 | |||||
25,663 |
ROYCE VALUE PLUS SERVICE CLASS
|
344,398 | |||||
280 |
RS GLOBAL NATURAL RESOURCES CL A
|
10,538 | |||||
727 |
RS VALUE FUND CL A
|
18,835 | |||||
159 |
RYDEX BASIC MATERIALS INV CLASS
|
8,663 | |||||
236 |
RYDEX COMMODITIES STRATEGY CL A
|
4,095 | |||||
544 |
RYDEX ENERGY INVESTOR CLASS
|
13,430 | |||||
161 |
RYDEX ENERGY SVCS INVESTOR CLASS
|
8,517 | |||||
1 |
RYDEX GOVT LONG BOND 1.2X STRATEGY ADV CL
|
6 | |||||
2,238 |
RYDEX INVERSE DOW 2X STRATEGY CL C
|
37,909 | |||||
90 |
RYDEX INVERSE DOW 2X STRATEGY CL H
|
1,602 | |||||
535 |
RYDEX INVERSE GOVT LONG BOND STRAT INV
|
6,920 | |||||
35,276 |
RYDEX INVERSE RUSSEL 2000 2X STRAT CL C
|
246,929 | |||||
2,568 |
RYDEX INVERSE S&P 500 2X STRATEGY CL H
|
41,013 | |||||
17,737 |
RYDEX INVERSE S&P 500 STRATEGY INV CL
|
539,193 | |||||
510 |
RYDEX NASDAQ 100 2X STRATEGY CL H
|
61,720 | |||||
5,121 |
RYDEX NASDAQ 100 INV CLASS
|
74,100 | |||||
265 |
RYDEX PRECIOUS METALS INVESTOR CL
|
23,358 | |||||
175 |
RYDEX SGI MANAGED FUTURES STRAT CL H
|
4,506 | |||||
103 |
RYDEX S&P 500 2X STRATEGY CL H
|
2,804 | |||||
113 |
RYDEX UTILITIES INVESTOR CLASS
|
2,878 | |||||
19 |
SARATOGA HEALTH & BIOTECH PORT CL A
|
326 | |||||
2,596 |
SARATOGA TECH & COMMUNICATIONS CL I
|
36,921 | |||||
1,226 |
SCHNEIDER SMALL CAP VALUE FUND
|
22,187 | |||||
3,130 |
SCHNEIDER VALUE FUND
|
45,819 | |||||
858 |
SCHWAB FINANCIAL SERVICES FUND
|
8,990 | |||||
5,979 |
SCOUT BOND
|
69,471 | |||||
1,441 |
SCOUT INTERNATIONAL FUND
|
46,653 | |||||
212 |
SCOUT STOCK FUND
|
2,727 | |||||
841 |
SELECTED AMERICAN SHARES CL D
|
34,815 | |||||
1,513 |
SELECTED AMERICAN SHARES CL S
|
62,679 | |||||
261 |
SENTINEL INTL EQUITY CLASS A
|
4,454 | |||||
31,909 |
SEXTANT INTRNATIONAL FUND
|
502,571 | |||||
3,105 |
SIT US GOV'T SECS
|
35,053 | |||||
23,082 |
SOUND MIND INVESTING FUND
|
264,746 | |||||
9,308 |
SPARTAN 500 INDEX FD ADVANTAGE CLASS
|
414,004 |
1,538 |
SPARTAN 500 INDEX FD INVESTOR CLASS
|
68,388 | |||||
480 |
SSGA EMERGING MARKETS
|
10,832 | |||||
634 |
SSGA INTERMEDIATE
|
5,659 | |||||
4,617 |
SSGA INTERNATIONAL STOCK SELECTION
|
46,588 | |||||
1,322 |
STRATTON SMALL CAP VALUE FUND
|
65,591 | |||||
63,556 |
SYMONS VALUE INSTL
|
662,885 | |||||
8,776 |
TARGET MORTGAGE BACK SECURITIES PORT CL T
|
91,447 | |||||
974 |
TARGET TOTAL RETURN BOND CL T
|
10,437 | |||||
719 |
TCW EMERGING MARKETS INCOME CL N
|
7,973 | |||||
1,751 |
TCW EMERGING MKTS INCOME CL I
|
15,143 | |||||
5,049 |
TCW HIGH YIELD BOND CLASS I
|
32,365 | |||||
592 |
TCW TOTAL RETURN BOND CLASS N
|
6,073 | |||||
616 |
TELECOMM ULTRA SECTOR PRO FD INVSTR
|
8,420 | |||||
13,628 |
TEMPLETON GLOBAL BOND ADVISOR CLASS
|
184,802 | |||||
588 |
TEMPLETON GLOBAL BOND CLASS A
|
7,995 | |||||
802 |
TEMPLETON GLOBAL BOND CLASS C
|
10,927 | |||||
570 |
TEMPLETON GROWTH CLASS R
|
10,057 | |||||
1,101 |
THE APPLESEED FUND
|
14,130 | |||||
697 |
THE DELAFIELD FUND
|
20,479 | |||||
437 |
THE OSTERWEIS STRATEGIC INCOME FD
|
5,079 | |||||
298 |
THESIS FLEXIBLE FUND
|
3,076 | |||||
1,429 |
THE WIRELESS FUND
|
8,257 | |||||
492 |
THIRD AVENUE FOCSED CREDIT FUND INVESTOR
|
5,527 | |||||
3,089 |
THIRD AVENUE INTL VALUE INSTL CLASS
|
52,299 | |||||
292 |
THIRD AVENUE REAL ESTATE VALUE INVST
|
6,766 | |||||
3,188 |
THIRD AVENUE VALUE INSTL CLASS
|
165,032 | |||||
734 |
THIRD MILLENNIUM RUSSIA
|
17,488 | |||||
198 |
THOMPSON PLUMB BOND FUND
|
2,244 | |||||
603 |
THORNBURG INTL VALUE CLASS C
|
15,913 | |||||
3,027 |
THORNBURG INTL VALUE CL INSTL
|
86,702 | |||||
209 |
TIAA-CREF INSTL LRG CAP VALUE -RETAIL
|
2,653 | |||||
2,339 |
TIAA-CREF INSTL MID CAP VALUE -RETAIL
|
39,242 | |||||
1,823 |
TIAA-CREF INSTL REAL ESTATE SEC - RETAIL
|
18,320 | |||||
117 |
TOCQUEVILLE FUND
|
2,636 | |||||
3,578 |
TOCQUEVILLE GOLD FUND
|
309,530 | |||||
1,171 |
TOCQUEVILLE SELECT FUND
|
14,465 | |||||
9,124 |
TOUCHSTONE SANDS CAP SEL GRWTH Z
|
91,335 | |||||
7,034 |
TRANSAMERICA WMC DIVERSIFIED GROWTH P
|
67,031 | |||||
1,404 |
T ROWE NEW INC FUND ADVISOR CLASS
|
13,310 | |||||
869 |
T ROWE PRICE AFRICA & MIDDLE EAST FD
|
6,680 | |||||
354 |
T ROWE PRICE BLUE CHIP GROWTH ADV CL
|
13,498 | |||||
16,919 |
T ROWE PRICE BLUE CHIP GROWTH INC
|
645,135 | |||||
10,029 |
T ROWE PRICE CAP APPRECIATION
|
203,681 | |||||
2,204 |
T ROWE PRICE CAPITAL APPRECIATION ADV CL
|
44,511 | |||||
155 |
T ROWE PRICE DIVIDEND GROWTH
|
3,544 | |||||
2,183 |
T-ROWE PRICE EMERG EURO & MEDITERRANEAN
|
51,136 | |||||
5,370 |
T ROWE PRICE EMERGING MKTS STOCK
|
189,464 | |||||
12,459 |
T ROWE PRICE EQUITY INCOME
|
295,160 | |||||
199 |
T ROWE PRICE EQUITY INCOME ADVISOR CL
|
4,711 | |||||
619 |
T ROWE PRICE FINANCIAL SERVICES
|
8,777 | |||||
2,260 |
T ROWE PRICE GLOBAL STOCK
|
40,838 | |||||
4,010 |
T ROWE PRICE GROWTH STOCK
|
128,917 | |||||
850 |
T ROWE PRICE GROWTH STOCK ADVISOR CL
|
27,110 | |||||
733 |
T ROWE PRICE HEALTH SCIENCES
|
22,194 | |||||
6,789 |
T ROWE PRICE HIGH YIELD BOND
|
46,028 | |||||
1,323 |
T ROWE PRICE INFLATION PROT BD FD
|
15,850 | |||||
6,228 |
T ROWE PRICE INTERNATIONAL BOND
|
61,964 | |||||
3,086 |
T ROWE PRICE INTL DISCOVERY FUND
|
135,470 | |||||
2,532 |
T ROWE PRICE INT'L EMERGING MARKET BOND
|
33,624 | |||||
2,004 |
T ROWE PRICE INTL EQUITY INDEX
|
23,666 | |||||
7,802 |
T ROWE PRICE LATIN AMERICA FUND
|
442,543 | |||||
380 |
T ROWE PRICE MEDIA & TELECOMMUNICATIONS
|
19,679 | |||||
483 |
T ROWE PRICE MID CAP GROWTH
|
28,299 |
361 |
T ROWE PRICE MID CAP GROWTH ADVISOR CL
|
20,757 | |||||
449 |
T ROWE PRICE NEW AMERICAN GROWTH
|
14,820 | |||||
2,789 |
T ROWE PRICE NEW ASIA
|
53,493 | |||||
1,627 |
T ROWE PRICE NEW ERA
|
84,861 | |||||
28,860 |
T ROWE PRICE NEW HORIZONS FD INC
|
966,512 | |||||
1,312 |
T ROWE PRICE REAL ESTATE FUND
|
22,959 | |||||
537 |
T ROWE PRICE REAL ESTATE FUND ADV CL
|
9,477 | |||||
49 |
T ROWE PRICE SCIENCE AND TECH ADVISOR CL
|
1,319 | |||||
867 |
T ROWE PRICE SMALL CAP VALUE FUND
|
31,342 | |||||
0 |
T ROWE PRICE US TREASURY LONG TERM
|
6 | |||||
267 |
T ROWE PRICE VALUE
|
6,228 | |||||
552 |
TURNER NEW ENTERPRISE INV CL
|
4,855 | |||||
823 |
TWEEDY BROWNE GLOBAL VALUE FUND
|
19,597 | |||||
12,182 |
ULTRA BEAR PRO FUND INVESTORS SHARES
|
82,352 | |||||
309 |
ULTRA BULL PRO FUND INVESTORS SHARES
|
12,401 | |||||
202 |
ULTRA JAPAN PRO FUND INVESTORS SHS
|
1,763 | |||||
3,282 |
ULTRA SHORT CHINA PRO FUND - INVESTOR
|
18,213 | |||||
707 |
ULTRA SHORT DOW 30 INVESTOR SHARES
|
6,093 | |||||
3,161 |
ULTRA SHORT INTL PRO FD INVT CL
|
26,839 | |||||
10,145 |
ULTRA SHORT SMALL CAP PRO FDS-INVST CL
|
29,218 | |||||
567 |
VALLEY FORGE INSTL
|
5,567 | |||||
94 |
VALUE LINE
|
804 | |||||
431 |
VALUE LINE EMERGING OPPORTUNITY
|
13,526 | |||||
595 |
VALUE LINE INCOME
|
5,037 | |||||
423 |
VALUE LINE PREMIER GROWTH FUND
|
11,347 | |||||
3,034 |
VAN ECK EMERGING MARKETS CL C
|
39,471 | |||||
119 |
VAN ECK FDS INTL INVS GOLD FD CL C
|
2,749 | |||||
100 |
VAN ECK INTERNATN'L INVESTORS GOLD CL A
|
2,468 | |||||
988 |
VANGUARD 500 INDEX FD INVESTOR SHS
|
114,466 | |||||
9,128 |
VANGUARD BOND INDEX TOTAL MARKET
|
96,759 | |||||
2,322 |
VANGUARD CONVERTIBLE SECURITIES
|
31,166 | |||||
5,847 |
VANGUARD DIVIDEND GROWTH
|
84,073 | |||||
1,288 |
VANGUARD EMERGING MARKETS STOCK INDEX
|
39,068 | |||||
3,330 |
VANGUARD ENERGY
|
216,103 | |||||
805 |
VANGUARD EUROPEAN STOCK INDEX
|
21,085 | |||||
21,454 |
VANGUARD FINANCIALS INDEX ADMIRAL SHRS
|
353,343 | |||||
740 |
VANGUARD FIXED INC HIGH YIELD CORP
|
4,216 | |||||
2,124 |
VANGUARD FTSE ALL WO RLD EX US IND INV CL
|
39,768 | |||||
1,090 |
VANGUARD GLOBAL EQUITY
|
19,460 | |||||
8,381 |
VANGUARD GNMA
|
90,014 | |||||
1,360 |
VANGUARD INDEX TRUST SMALL CAP GROWTH
|
29,801 | |||||
21,391 |
VANGUARD INFLATION PROTECTED SECS
|
278,083 | |||||
9,760 |
VANGUARD INTERMED TRM INVST GR INVEST
|
96,821 | |||||
262 |
VANGUARD INTERNATL VALUE PORTFOLIO
|
8,440 | |||||
5,428 |
VANGUARD INTER-TERM BOND INDEX PORT
|
60,845 | |||||
1,184 |
VANGUARD INT'L GROWTH PORTFOLIO
|
22,908 | |||||
688 |
VANGUARD LONG TERM INVMT GRADE INV
|
6,427 | |||||
362 |
VANGUARD MID CAP GRWTH INDX CL INVES
|
8,846 | |||||
2,407 |
VANGUARD MID CAP INDEX
|
48,883 | |||||
411 |
VANGUARD PACIFIC STOCK INDEX
|
4,470 | |||||
1,464 |
VANGUARD PRECIOUS METALS & MINING FUND
|
39,158 | |||||
6,167 |
VANGUARD REIT INDEX FUND
|
113,347 | |||||
1,445 |
VANGUARD SHORT TERM BOND INDEX
|
15,249 | |||||
8,424 |
VANGUARD SHORT TERM INVMT GRADE INVESTOR
|
90,723 | |||||
6,165 |
VANGUARD SMALL CAP STOCK INDEX TRUST
|
214,228 | |||||
1,715 |
VANGUARD SMALL CAP VALUE INDEX
|
27,456 | |||||
57 |
VANGUARD STAR
|
1,081 | |||||
3,017 |
VANGUARD STRATEGIC SMALL CAP EQ INVT
|
56,934 | |||||
2,513 |
VANGUARD TARGET RET 2015 FD INVESTOR CL
|
31,207 | |||||
17,699 |
VANGUARD TARGET RET 2035 FD INVESTOR CL
|
231,686 | |||||
5,098 |
VANGUARD TOTAL INTL STOCK INDEX FUND
|
80,339 | |||||
9,091 |
VANGUARD TOTAL STOCK MARKET
|
286,897 | |||||
13,086 |
VANGUARD/WELLESLEY INCOME
|
283,976 |
3,548 |
VANGUARD WELLINGTON FUND
|
110,356 | |||||
1,573 |
VANGUARD WINDSOR II
|
40,369 | |||||
518 |
VICE FUND
|
8,762 | |||||
872 |
VIRTUS FOREIGN OPPORTUNITES CL A
|
19,456 | |||||
11,150 |
WASATCH 1ST SOURCE INCOME EQUITY FUND
|
154,985 | |||||
4,910 |
WASATCH 1ST SOURCE INCOME FD
|
49,887 | |||||
45,617 |
WASATCH EMERGING MARKETS SMALL CAP FD
|
117,237 | |||||
1,476 |
WASATCH GLOBAL SCIENCE & TECHNOLOGY
|
22,158 | |||||
125 |
WASATCH HOISINGTON US TREASURY
|
1,749 | |||||
2,398 |
WASATCH INTERNATIONAL GROWTH
|
48,422 | |||||
419 |
WASATCH SMALL CAP GROWTH
|
16,535 | |||||
2,612 |
WASATCH ULTRA GROWTH
|
59,299 | |||||
1,329 |
WEITZ PARTNERS VALUE
|
27,355 | |||||
4,011 |
WEITZ SHORT INTERMED INCOME FUND
|
49,651 | |||||
1,783 |
WELLS FARGO ASIA PACIFIC FD-INVESTOR
|
18,617 | |||||
965 |
WELLS FARGO EMERGING MARKETS CL C
|
19,021 | |||||
285 |
WELLS FARGO GLOBAL OPPT FD CL C
|
8,130 | |||||
460 |
WELLS FARGO INTER TAX/AMT FREE INV
|
4,925 | |||||
32 |
WELLS FARGO PRECIOUS METALS CL A
|
2,838 | |||||
5,029 |
WELLS FARGO SHORT TERM HI YIELD BD-INV
|
41,536 | |||||
137 |
WELLS FARGO SHRT TRM HI YIELD BND CLASS A
|
1,134 | |||||
6,250 |
WELLS FARGO ULTRA SHRT TM MUNI INC INV
|
30,063 | |||||
602 |
WESTCORE FLEXIBLE INCOME FUND
|
5,072 | |||||
7,977 |
WESTCORE PLUS BOND FUND
|
85,516 | |||||
1,707 |
WESTCORE SELECT
|
35,975 | |||||
3,154 |
WESTERN ASSET CORE PLUS INSTITUTIONAL
|
33,995 | |||||
1,179 |
WESTERN ASSET CORE PORTFOLIO FI CLASS
|
13,476 | |||||
877 |
WESTPORT FUND CLASS R
|
20,411 | |||||
1,445 |
WILLIAM BLAIR INTERNAT'L GROWTH I
|
32,274 | |||||
873 |
WILLIAM BLAIR SMALL CAP VALUE CLASS N
|
11,971 | |||||
1,973 |
WILLIAM BLAIR SMALL CAP VALUE INSTL CL
|
27,486 | |||||
803 |
WINTERGREEN FUND
|
11,244 | |||||
15,999 |
WORLD PRECIOUS MINERALS FUND
|
356,458 | |||||
1,353 |
YACKTMAN FOCUSED FD
|
23,927 | |||||
5,192 |
YACKTMAN FUND
|
85,876 | |||||
Total Registered Investment Companies
|
$ | 45,663,725 | |||||
Notes Receivable From Particiapnts (interest rate ranging from 4.25% through 10.5% maturing through November 2025)
|
$ | 70,565,226 | |||||
Net Assets Pending Settlement
|
$ | (20,856 | ) | ||||
TOTAL NET ASSETS
|
$ | 2,998,060,700 |
Number of
|
||||||
Assets Acquired and Disposed
|
Shares/Units
|
Fair Value
|
||||
American Electric Power Company, Inc. Common Stock $6.50 par value (a)
|
||||||
Acquired:
|
1,734,490
|
Shares
|
$
|
60,715,015
|
||
Disposed:
|
2,523,539
|
Shares
|
$
|
87,463,322
|
|
(a) Transactions are recorded on the trade date.
|
Exhibit Number
|
Description
|
||
23
|
Consent of Independent Registered Public Accounting Firm
|
||