THIS FILING LISTS SECURITIES HOLDINGS REPORTED ON THE FORM 13F FILED ON
        6/15/2011 PURSUANT TO A REQUEST FOR CONFIDENTIAL TREATMENT AND
             FOR WHICH CONFIDENTIAL TREATMENT EXPIRED ON .

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

                                    Form 13F
                               Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 6/30/2011
Check here if Amendment []; Amendment Number:
                                               -------
This Amendment (Check only one.):               [] is a restatement.
                                                [] adds new holdings entries.

Institutional Investment Manager Filing this Report:


Name:      Nomura Holdings Inc.

Address:   1-9-1, Nihonbashi, Chuo-ku, Tokyo 103-8011, Japan


Form 13F File Number: 001-15270


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

Persons Signing this Report on Behalf of Reporting Manager:

Name:   Brendan G. Daly
Title:  Head of Compliance and Surveillance
Phone:  212-667-1246

Signature,  Place,  and  Date  of  Signing:

/s/ Brendan G. Daly                New York, NY                       8/4/2011
---------------------------------  ---------------------------------  ----------
[Signature]                        [City, State]                      [Date]



Report  Type  (Check  only  one):

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

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

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

List of Other Managers Reporting for this Manager:

13F File Number  Name

28-04983         Nomura Securities International, Inc.
---------------  ---------------------------------------------------------------
28-04985         Nomura International plc
---------------  ---------------------------------------------------------------
28-04979         Nomura Securities Company, Ltd
---------------  ---------------------------------------------------------------
028-13982        Nomura Corporate Research & Asset Management Inc.
---------------  ---------------------------------------------------------------
014-88809        Nomura Funds Research and Technologies America, Inc.
---------------  ---------------------------------------------------------------



                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    5

Form 13F Information Table Entry Total:           1,322

Form 13F Information Table Value Total:  $    3,783,475
                                         --------------
                                         (In Thousands)


List of Other Included Managers:

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

No.   Form 13F File Number  Name

1     28-04983              Nomura Securities International, Inc.
----  --------------------  ----------------------------------------------------
2     28-04985              Nomura International plc
----  --------------------  ----------------------------------------------------
3     28-04979              Nomura Securities Company, Ltd
----  --------------------  ----------------------------------------------------
4     028-13982             Nomura Corporate Research & Asset Management Inc.
----  --------------------  ----------------------------------------------------
5     014-88809             Nomura Funds Research and Technologies America, Inc
----  --------------------  ----------------------------------------------------






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
3M CO COM USD0.01        CMN            88579Y101    1,687     17,790 SH       SOLE       2            17,790          0       0
99 CENTS ONLY STORES     CMN            65440K106      210     10,400 SH       SOLE       2            10,400          0       0
ABBOTT LABORATORIES      CMN            002824100       27        520 SH       DEFINED    1                          520       0
ABBOTT LABORATORIES      CMN            002824100      946     17,979 SH       DEFINED    2                       17,979       0
ABBOTT LABORATORIES      CMN            002824100      503      9,549 SH       DEFINED    2                        9,549       0
ABERCROMBIE & FITCH      CMN            002896207      372      5,552 SH       DEFINED    1                        5,552       0
ABERCROMBIE & FITCH      CMN            002896207    5,437     81,245 SH       DEFINED    2                       81,245       0
ABINGTON BANCORP INC     CMN            00350L109    2,700    258,650 SH       SOLE       1           258,650          0       0
ACCENTURE PLC CLS'A'     CMN            G1151C101      346      5,724 SH       SOLE       2             5,724          0       0
ACCURIDE CORP            CMN            00439T206   12,776  1,011,545 SH       SOLE       4           884,639          0 126,906
ACTIVISION BLIZZARD      CMN            00507V109      191     16,307 SH       SOLE       2            16,307          0       0
ACUITY BRANDS INC CO     CMN            00508Y102    2,342     41,986 SH       DEFINED    1                       41,986       0
ACUITY BRANDS INC CO     CMN            00508Y102        8        140 SH       DEFINED    2                          140       0
ACXIOM CORP COM USD0     CMN            005125109      361     27,550 SH       SOLE       2            27,550          0       0
ADECOAGRO SA COM NPV     CMN            L00849106      115     10,300 SH       SOLE       2            10,300          0       0
ADOBE SYSTEMS INC CO     CMN            00724F101    1,557     49,512 SH       SOLE       2            49,512          0       0
ADVANCED MICRO DEVIC     CMN            007903107      339     48,476 SH       DEFINED    1                       48,476       0
ADVANCED MICRO DEVIC     CMN            007903107    1,919    274,809 SH       DEFINED    2                      274,809       0
AEGEAN MARINE PETROL     CMN            Y0017S102      277     39,047 SH       SOLE       2            39,047          0       0
AES CORP/THE COM USD     CMN            00130H105      323     25,379 SH       SOLE       2            25,379          0       0
AETNA INC COM USD0.0     CMN            00817Y108       10        220 SH       DEFINED    1                          220       0
AETNA INC COM USD0.0     CMN            00817Y108      542     12,298 SH       DEFINED    2                       12,298       0
AFLAC INC COM USD0.1     CMN            001055102      341      7,303 SH       DEFINED    2                        7,303       0
AFLAC Incorporated       CMN            1055102        300      6,427 SH       SOLE       3             6,427          0       0
AGILENT TECHNOLOGIES     CMN            00846U101        9        180 SH       DEFINED    1                          180       0
AGILENT TECHNOLOGIES     CMN            00846U101      244      4,770 SH       DEFINED    2                        4,770       0
AGNICO-EAGLE MINES L     CMN            008474108      574      9,090 SH       SOLE       2             9,090          0       0
AK STEEL HOLDING COR     CMN            001547108      436     27,644 SH       DEFINED    1                       27,644       0
AK STEEL HOLDING COR     CMN            001547108      970     61,496 SH       DEFINED    2                       61,496       0
AKAMAI TECHNOLOGIES      CMN            00971T101      888     28,224 SH       SOLE       2            28,224          0       0
ALCATEL-LUCENT EUR2      CMN            013904305      229     39,800 SH       SOLE       2            39,800          0       0
ALCOA INC COM USD1       CMN            013817101        3        164 SH       DEFINED    2                          164       0
ALCOA INC COM USD1       CMN            013817101    5,478    345,441 SH       DEFINED    2                      345,441       0
ALERE INC COM STK US     CMN            01449J105      168      4,600 SH       DEFINED    1                        4,600       0
ALERE INC COM STK US     CMN            01449J105       59      1,614 SH       DEFINED    2                        1,614       0
ALEXION PHARMACEUTIC     CMN            015351109      848     18,034 SH       SOLE       2            18,034          0       0
ALIGN TECHNOLOGY INC     CMN            016255101       12        536 SH       DEFINED    1                          536       0
ALIGN TECHNOLOGY INC     CMN            016255101    1,202     52,737 SH       DEFINED    2                       52,737       0
ALLEGHENY TECHNOLOGI     CMN            01741R102    1,261     19,871 SH       SOLE       2            19,871          0       0
ALLIANT TECHSYSTEMS      CMN            018804104      485      6,800 SH       DEFINED    1                        6,800       0
ALLIANT TECHSYSTEMS      CMN            018804104      155      2,174 SH       DEFINED    2                        2,174       0
ALLIED IRISH BANKS P     CMN            019228808    1,434    674,930 SH       SOLE       2           674,930          0       0
ALLOS THERAPEUTICS I     CMN            019777101       27     12,500 SH       SOLE       2            12,500          0       0
ALPHA NAT RES LLC CO     CMN            02076X102    1,261     27,762 SH       SOLE       2            27,762          0       0
ALTERA CORP COM USD0     CMN            021441100    3,761     81,156 SH       SOLE       2            81,156          0       0
ALTRA HOLDINGS INC C     CMN            02208R106      228      9,506 SH       SOLE       2             9,506          0       0
ALTRIA GROUP INC COM     CMN            02209S103       24        900 SH       DEFINED    1                          900       0
ALTRIA GROUP INC COM     CMN            02209S103      339     12,835 SH       DEFINED    2                       12,835       0
ALUMINA LTD NPV          CMN            022205108      593     64,400 SH       SOLE       2            64,400          0       0
AMAZON.COM INC COM U     CMN            023135106    1,111      5,431 SH       DEFINED    2                        5,431       0
Amazon.com, Inc.         CMN            23135106       100        489 SH       SOLE       3               489          0       0
AMERICA MOVIL SAB DE     CMN            02364W105    1,174     21,800 SH       SOLE       2            21,800          0       0
AMERICAN CAPITAL LTD     CMN            02503Y103    1,575    158,468 SH       SOLE       2           158,468          0       0
AMERICAN EAGLE OUTFI     CMN            02553E106       18      1,400 SH       DEFINED    1                        1,400       0
AMERICAN EAGLE OUTFI     CMN            02553E106      145     11,410 SH       DEFINED    2                       11,410       0
AMERICAN ELECTRIC PO     CMN            025537101      835     22,169 SH       SOLE       2            22,169          0       0
AMERICAN EXPRESS CO      CMN            025816109    2,009     38,850 SH       DEFINED    1                       38,850       0
AMERICAN EXPRESS CO      CMN            025816109    2,004     38,762 SH       DEFINED    2                       38,762       0
AMERICAN INTERNATION     CMN            026874784    5,419    184,879 SH       DEFINED    1                      184,879       0
AMERICAN INTERNATION     CMN            026874784      386     13,159 SH       DEFINED    2                       13,159       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
AMERICAN INTERNATION     CMN            026874784    3,628    123,757 SH       DEFINED    2                      123,757       0
AMERICAN ORIENTAL BI     CMN            028731107       17     14,900 SH       SOLE       2            14,900          0       0
AMERICAN SUPERCONDUC     CMN            030111108       93     10,269 SH       SOLE       2            10,269          0       0
AMERICAN WATER WORKS     CMN            030420103      203      6,904 SH       SOLE       2             6,904          0       0
AMERIGROUP CORP COM      CMN            03073T102    2,322     32,956 SH       DEFINED    1                       32,956       0
AMERIGROUP CORP COM      CMN            03073T102       42        597 SH       DEFINED    2                          597       0
AMERIPRISE FINANCIAL     CMN            03076C106      289      5,009 SH       SOLE       2             5,009          0       0
AMERISTAR CASINOS IN     CMN            03070Q101      236      9,957 SH       SOLE       2             9,957          0       0
AMETEK INC COM USD0.     CMN            031100100      307      6,827 SH       SOLE       2             6,827          0       0
AMGEN INC COM USD0.0     CMN            031162100    1,434     24,572 SH       DEFINED    2                       24,572       0
AMGEN INC COM USD0.0     CMN            031162100    3,047     52,222 SH       DEFINED    2                       52,222       0
AMKOR TECHNOLOGY INC     CMN            031652100      213     34,527 SH       SOLE       2            34,527          0       0
AMR CORP COM USD1        CMN            001765106      234     43,300 SH       DEFINED    1                       43,300       0
AMR CORP COM USD1        CMN            001765106      312     57,733 SH       DEFINED    2                       57,733       0
AMYLIN PHARMACEUTICA     CMN            032346108    1,670    125,000 SH       DEFINED    1                      125,000       0
AMYLIN PHARMACEUTICA     CMN            032346108        6        420 SH       DEFINED    2                          420       0
ANADARKO PETROLEUM C     CMN            032511107       17        226 SH       DEFINED    1                          226       0
ANADARKO PETROLEUM C     CMN            032511107    1,597     20,803 SH       DEFINED    2                       20,803       0
ANALOG DEVICES INC C     CMN            032654105      387      9,875 SH       SOLE       2             9,875          0       0
ANN INC COM USD0.006     CMN            035623107    2,794    107,076 SH       DEFINED    1                      107,076       0
ANN INC COM USD0.006     CMN            035623107      632     24,215 SH       DEFINED    2                       24,215       0
ANNALY CAPITAL MANAG     CMN            035710409      677     37,531 SH       SOLE       2            37,531          0       0
ANSYS INC COM USD0.0     CMN            03662Q105    1,148     21,000 SH       SOLE       2            21,000          0       0
AON CORP COM USD1        CMN            037389103      257      5,009 SH       SOLE       2             5,009          0       0
AOXING PHARMACEUTICA     CMN            03740A106      163    118,462 SH       SOLE       1           118,462          0       0
APACHE CORP USD0.625     CMN            037411105       27        220 SH       DEFINED    1                          220       0
APACHE CORP USD0.625     CMN            037411105      945      7,662 SH       DEFINED    2                        7,662       0
APARTMENT INV& MANAG     CMN            03748R101        5        200 SH       DEFINED    1                          200       0
APARTMENT INV& MANAG     CMN            03748R101      341     13,365 SH       DEFINED    2                       13,365       0
APOLLO (EDUCATION) G     CMN            037604105      414      9,482 SH       SOLE       2             9,482          0       0
APOLLO INVESTMENT CO     CMN            03761U106      763     74,823 SH       SOLE       2            74,823          0       0
Apple                    CMN            37833100     1,315      3,918 SH       SOLE       3             3,918          0       0
APPLE INC COM NPV        CMN            037833100      303        902 SH       DEFINED    2                          902       0
APPLE INC COM NPV        CMN            037833100   49,507    147,485 SH       DEFINED    2                      147,485       0
APPLIED MATERIALS IN     CMN            038222105    1,010     77,573 SH       DEFINED    2                       77,573       0
APPLIED MATERIALS IN     CMN            038222105      125      9,598 SH       DEFINED    2                        9,598       0
AQUA AMERICA INC COM     CMN            03836W103       97      4,400 SH       DEFINED    1                        4,400       0
AQUA AMERICA INC COM     CMN            03836W103      113      5,155 SH       DEFINED    2                        5,155       0
ARADIGM CORP COM STK     CMN            038505301       83    443,480 SH       SOLE       2           443,480          0       0
ARCELORMITTAL NY REG     CMN            03938L104      794     22,835 SH       SOLE       2            22,835          0       0
ARCH CAPITAL GROUP L     CMN            G0450A105      495     15,506 SH       SOLE       2            15,506          0       0
ARCH COAL INC COM US     CMN            039380100       34      1,260 SH       DEFINED    1                        1,260       0
ARCH COAL INC COM US     CMN            039380100    1,432     53,728 SH       DEFINED    2                       53,728       0
ARCHER-DANIELS-MIDLA     CMN            039483102      677     22,462 SH       DEFINED    1                       22,462       0
ARCHER-DANIELS-MIDLA     CMN            039483102      793     26,288 SH       DEFINED    2                       26,288       0
ARES CAPITAL CORP CO     CMN            04010L103      810     50,398 SH       SOLE       2            50,398          0       0
ARM HOLDINGS PLC ORD     CMN            042068106      610     21,435 SH       SOLE       2            21,435          0       0
ARMSTRONG WORLD          CMN            04247X102      233      5,114 SH       SOLE       4             5,114          0       0
ARTHROCARE CORP COM      CMN            043136100      371     11,076 SH       SOLE       2            11,076          0       0
ASSOCIATED BANC-CORP     CMN            045487105      353     25,377 SH       SOLE       2            25,377          0       0
ASTEC INDUSTRIES INC     CMN            046224101      202      5,455 SH       SOLE       2             5,455          0       0
ASTRAZENECA PLC ORD      CMN            046353108    3,810     76,110 SH       SOLE       2            76,110          0       0
AT&T INC COM USD1        CMN            00206R102      353     11,250 SH       DEFINED    1                       11,250       0
AT&T INC COM USD1        CMN            00206R102      977     31,109 SH       DEFINED    2                       31,109       0
ATMEL CORP COM USD0.     CMN            049513104      669     47,569 SH       SOLE       2            47,569          0       0
ATP OIL & GAS CORP C     CMN            00208J108      513     33,502 SH       SOLE       2            33,502          0       0
AU OPTRONICS CORP TW     CMN            002255107      860    125,090 SH       SOLE       2           125,090          0       0
AUTODESK INC COM USD     CMN            052769106    2,094     54,269 SH       SOLE       2            54,269          0       0
AUTOZONE INC COM USD     CMN            053332102      254        862 SH       DEFINED    1                          862       0
AUTOZONE INC COM USD     CMN            053332102      258        874 SH       DEFINED    2                          874       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
AVAGO TECHNOLOGIES L     CMN            Y0486S104      259      6,824 SH       SOLE       2             6,824          0       0
AVIS BUDGET GROUP IN     CMN            053774105    1,807    105,700 SH       SOLE       2           105,700          0       0
BAIDU INC UNLISTED N     CMN            056752108      648      4,623 SH       SOLE       2             4,623          0       0
BAKER HUGHES INC COM     CMN            057224107    1,200     16,540 SH       SOLE       2            16,540          0       0
BANCO BRADESCO SA PR     CMN            059460303      382     18,635 SH       DEFINED    2                       18,635       0
BANCO BRADESCO SA PR     CMN            059460303      282     13,776 SH       DEFINED    2                       13,776       0
BANCO MACRO SA CLASS     CMN            05961W105      329      8,730 SH       SOLE       2             8,730          0       0
BANCO SANTANDER CHIL     CMN            05965X109   19,494    207,800 SH       SOLE       2           207,800          0       0
Bank of America          CMN            60505104    50,432  4,601,460 SH       SOLE       3         4,601,460          0       0
BANK OF AMERICA CORP     CMN            060505104   32,182  2,938,159 SH       DEFINED    1                    2,938,159       0
BANK OF AMERICA CORP     CMN            060505104   41,236  3,764,790 SH       DEFINED    2                    3,764,790       0
BANK OF AMERICA CORP     CMN            060505104   16,469  1,503,557 SH       DEFINED    2                    1,503,557       0
BANK OF IRELAND /THE     CMN            46267Q103      503    466,280 SH       SOLE       2           466,280          0       0
BANK OF NEW YORK MEL     CMN            064058100      496     19,367 SH       SOLE       2            19,367          0       0
BARCLAYS PLC ORD GBP     CMN            06738E204      555     33,784 SH       SOLE       2            33,784          0       0
BARNES & NOBLE INC C     CMN            067774109      253     15,237 SH       SOLE       2            15,237          0       0
BARRICK GOLD CORP CO     CMN            067901108    1,165     25,720 SH       DEFINED    2                       25,720       0
BARRICK GOLD CORP CO     CMN            067901108    7,395    163,264 SH       DEFINED    2                      163,264       0
BAXTER INTERNATIONAL     CMN            071813109      337      5,640 SH       SOLE       2             5,640          0       0
BAYTEX ENERGY CORP T     CMN            07317Q105      214      3,937 SH       SOLE       2             3,937          0       0
BB&T CORP COM USD5       CMN            054937107      274     10,190 SH       SOLE       2            10,190          0       0
BEAZER HOMES USA INC     CMN            07556Q105      143     42,150 SH       SOLE       2            42,150          0       0
BERKSHIRE HATHAWAY I     CMN            084670702    4,088     52,821 SH       SOLE       2            52,821          0       0
BEST BUY CO INC COM      CMN            086516101      216      6,888 SH       DEFINED    1                        6,888       0
BEST BUY CO INC COM      CMN            086516101    1,089     34,669 SH       DEFINED    2                       34,669       0
BGC PARTNERS INC COM     CMN            05541T101        4        500 SH       DEFINED    1                          500       0
BGC PARTNERS INC COM     CMN            05541T101      172     22,221 SH       DEFINED    2                       22,221       0
BHP BILLITON LTD NPV     CMN            088606108    1,632     17,250 SH       SOLE       2            17,250          0       0
BHP BILLITON PLC USD     CMN            05545E209   21,120    269,262 SH       SOLE       2           269,262          0       0
BIG LOTS INC COM USD     CMN            089302103       27        800 SH       DEFINED    1                          800       0
BIG LOTS INC COM USD     CMN            089302103      177      5,346 SH       DEFINED    2                        5,346       0
BIOGEN IDEC INC COM      CMN            09062X103      511      4,779 SH       SOLE       2             4,779          0       0
BIOMARIN PHARMACEUTI     CMN            09061G101      489     17,976 SH       SOLE       2            17,976          0       0
BIOMED REALTY TRUST      CMN            09063H107    4,926    256,100 SH       DEFINED    1                      256,100       0
BIOMED REALTY TRUST      CMN            09063H107       23      1,211 SH       DEFINED    2                        1,211       0
BIO-REFERENCE LABS I     CMN            09057G602      450     21,527 SH       SOLE       2            21,527          0       0
BJ'S WHOLESALE CLUB      CMN            05548J106   10,572    210,000 SH       SOLE       2           210,000          0       0
BLACKBOARD INC COM U     CMN            091935502      868     20,000 SH       SOLE       2            20,000          0       0
BLACKROCK INC/NEW YO     CMN            09247X101      352      1,835 SH       DEFINED    1                        1,835       0
BLACKROCK INC/NEW YO     CMN            09247X101      129        675 SH       DEFINED    2                          675       0
BLACKROCK KELSO CAPI     CMN            092533108      389     43,329 SH       SOLE       2            43,329          0       0
BLUE NILE INC COM US     CMN            09578R103      576     13,103 SH       SOLE       2            13,103          0       0
BMC SOFTWARE INC COM     CMN            055921100    4,086     74,695 SH       DEFINED    1                       74,695       0
BMC SOFTWARE INC COM     CMN            055921100    2,486     45,447 SH       DEFINED    2                       45,447       0
BOEING CO COM USD5       CMN            097023105    2,768     37,443 SH       SOLE       2            37,443          0       0
BOK FINANCIAL CORP C     CMN            05561Q201      329      6,013 SH       SOLE       2             6,013          0       0
BOSTON PROPERTIES IN     CMN            101121101      204      1,921 SH       SOLE       2             1,921          0       0
BOSTON SCIENTIFIC CO     CMN            101137107       34      4,960 SH       DEFINED    1                        4,960       0
BOSTON SCIENTIFIC CO     CMN            101137107      227     32,886 SH       DEFINED    2                       32,886       0
BOYD GAMING CORP COM     CMN            103304101      469     53,850 SH       SOLE       2            53,850          0       0
BP PLC ORD USD0.25       CMN            055622104   14,237    321,390 SH       SOLE       2           321,390          0       0
BRIDGEPOINT EDUCATIO     CMN            10807M105      585     23,413 SH       SOLE       2            23,413          0       0
BROADCOM CORP CL A C     CMN            111320107    1,561     46,407 SH       SOLE       2            46,407          0       0
BROCADE COMMUNICATIO     CMN            111621306    1,291    200,000 SH       DEFINED    1                      200,000       0
BROCADE COMMUNICATIO     CMN            111621306       15      2,400 SH       DEFINED    2                        2,400       0
BROWN-FORMAN CORP 'B     CMN            115637209      284      3,800 SH       DEFINED    1                        3,800       0
BROWN-FORMAN CORP 'B     CMN            115637209       42        568 SH       DEFINED    2                          568       0
BUCYRUS INTERNATIONA     CMN            118759109   10,000    109,100 SH       DEFINED    1                      109,100       0
BUCYRUS INTERNATIONA     CMN            118759109   12,865    140,362 SH       DEFINED    2                      140,362       0
CABLEVISION SYS CP N     CMN            12686C109      352      9,730 SH       DEFINED    1                        9,730       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
CABLEVISION SYS CP N     CMN            12686C109      124      3,421 SH       DEFINED    2                        3,421       0
CABOT MICROELECTRONI     CMN            12709P103      299      6,436 SH       SOLE       2             6,436          0       0
CABOT OIL & GAS CO C     CMN            127097103       11        170 SH       DEFINED    1                          170       0
CABOT OIL & GAS CO C     CMN            127097103      232      3,505 SH       DEFINED    2                        3,505       0
CADENCE DESIGN SYSTE     CMN            127387108      135     12,817 SH       SOLE       2            12,817          0       0
CALIFORNIA PIZZA KIT     CMN            13054D109    1,003     54,300 SH       SOLE       1            54,300          0       0
CALLAWAY GOLF CO COM     CMN            131193104      240     38,650 SH       SOLE       2            38,650          0       0
CAMECO CORP COM NPV      CMN            13321L108    7,211    273,741 SH       SOLE       2           273,741          0       0
CAMERON INTERNATIONA     CMN            13342B105       13        250 SH       DEFINED    1                          250       0
CAMERON INTERNATIONA     CMN            13342B105      586     11,651 SH       DEFINED    2                       11,651       0
CANADIAN NATIONAL RA     CMN            136375102      255      3,197 SH       SOLE       2             3,197          0       0
CANADIAN NATURAL RES     CMN            136385101      175      4,190 SH       DEFINED    2                        4,190       0
CANADIAN NATURAL RES     CMN            136385101    1,096     26,186 SH       DEFINED    2                       26,186       0
CAPELLA EDUCATION CO     CMN            139594105      338      8,070 SH       SOLE       2             8,070          0       0
CAPITAL ONE FINANCIA     CMN            14040H105      357      6,909 SH       DEFINED    1                        6,909       0
CAPITAL ONE FINANCIA     CMN            14040H105      684     13,241 SH       DEFINED    2                       13,241       0
CAPITALSOURCE INC CO     CMN            14055X102       81     12,541 SH       SOLE       2            12,541          0       0
CARBO CERAMICS INC C     CMN            140781105      742      4,552 SH       SOLE       2             4,552          0       0
CAREER EDUCATION COR     CMN            141665109      186      8,800 SH       DEFINED    1                        8,800       0
CAREER EDUCATION COR     CMN            141665109       21      1,000 SH       DEFINED    2                        1,000       0
CARNIVAL CORP COM US     CMN            143658300      528     14,046 SH       SOLE       2            14,046          0       0
CASEY'S GENERAL STOR     CMN            147528103      307      6,984 SH       SOLE       2             6,984          0       0
Caterpillar              CMN            149123101    2,000     18,786 SH       SOLE       3            18,786          0       0
CATERPILLAR INC COM      CMN            149123101       53        502 SH       DEFINED    2                          502       0
CATERPILLAR INC COM      CMN            149123101   10,345     97,180 SH       DEFINED    2                       97,180       0
CBOE HOLDINGS INC CO     CMN            12503M108      533     21,654 SH       SOLE       2            21,654          0       0
CBS CORP CLASS'B' CO     CMN            124857202    4,222    148,211 SH       DEFINED    1                      148,211       0
CBS CORP CLASS'B' CO     CMN            124857202      793     27,846 SH       DEFINED    2                       27,846       0
CELESTICA INC SUB OR     CMN            15101Q108      140     15,970 SH       SOLE       2            15,970          0       0
CELGENE CORP COM USD     CMN            151020104       11        180 SH       DEFINED    1                          180       0
CELGENE CORP COM USD     CMN            151020104      632     10,471 SH       DEFINED    2                       10,471       0
CEMEX SAB DE CV CPO      CMN            151290889   56,351  6,557,183 SH       DEFINED    2                   65,571,830       0
CEMEX SAB DE CV CPO      CMN            151290889      180     20,961 SH       DEFINED    2                      209,610       0
CENTER FINL CORP COM     CMN            15146E102    1,392    219,500 SH       SOLE       1           219,500          0       0
CENTERPOINT ENERGY I     CMN            15189T107      227     11,742 SH       SOLE       2            11,742          0       0
CENTRAIS ELETRICAS B     CMN            15234Q207      799     59,200 SH       SOLE       2            59,200          0       0
CENTRAL EUROPEAN DIS     CMN            153435102      560     50,000 SH       DEFINED    1                       50,000       0
CENTRAL EUROPEAN DIS     CMN            153435102       27      2,423 SH       DEFINED    2                        2,423       0
CENTRAL EUROPEAN MED     CMN            G20045202      213     10,777 SH       SOLE       2            10,777          0       0
CENTRAL FUND CDA  CL     CMN            153501101      269     13,201 SH       SOLE       2            13,201          0       0
CENTURYLINK INC COM      CMN            156700106      353      8,737 SH       DEFINED    1                        8,737       0
CENTURYLINK INC COM      CMN            156700106      809     20,000 SH       DEFINED    2                       20,000       0
CENTURYLINK INC COM      CMN            156700106      154      3,818 SH       DEFINED    2                        3,818       0
CEPHALON INC COM USD     CMN            156708109   11,857    148,392 SH       DEFINED    2                      148,392       0
CEPHALON INC COM USD     CMN            156708109   23,626    295,676 SH       DEFINED    2                      295,676       0
CERADYNE INC COM USD     CMN            156710105      439     11,271 SH       SOLE       2            11,271          0       0
CERNER CORP COM USD0     CMN            156782104      240      3,926 SH       SOLE       2             3,926          0       0
CEVA INC COM USD0.00     CMN            157210105      360     11,815 SH       SOLE       2            11,815          0       0
CF INDUSTRIES HOLDIN     CMN            125269100       28        200 SH       DEFINED    1                          200       0
CF INDUSTRIES HOLDIN     CMN            125269100    1,663     11,738 SH       DEFINED    2                       11,738       0
CH ROBINSON WORLDWID     CMN            12541W209    2,591     32,859 SH       SOLE       2            32,859          0       0
CHARLES RIVER LABORA     CMN            159864107    3,734     91,848 SH       SOLE       2            91,848          0       0
CHARMING SHOPPES INC     CMN            161133103      207     49,699 SH       SOLE       2            49,699          0       0
CHARTER COMMUNICATIO     CMN            16117M305    3,672     67,680 SH       SOLE       4            67,634          0      46
CHEESECAKE FACTORY/T     CMN            163072101      693     22,088 SH       SOLE       2            22,088          0       0
CHEMTURA CORP            CMN            163893209    1,067     58,647 SH       SOLE       4            58,647          0       0
CHENIERE ENERGY INC      CMN            16411R208      211     23,093 SH       SOLE       2            23,093          0       0
CHESAPEAKE ENERGY CO     CMN            165167107       10        340 SH       DEFINED    1                          340       0
CHESAPEAKE ENERGY CO     CMN            165167107    1,237     41,657 SH       DEFINED    2                       41,657       0
CHEVRON CORP COM USD     CMN            166764100   13,336    129,672 SH       SOLE       2           129,672          0       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
CHINA BAK BATTERY IN     CMN            16936Y100       15     15,000 SH       SOLE       2            15,000          0       0
CHINA DIGITAL TV HOL     CMN            16938G107       82     16,040 SH       SOLE       2            16,040          0       0
CHINA LIFE INSURANCE     CMN            16939P106      819     15,795 SH       SOLE       2            15,795          0       0
CHINA MOBILE LTD SPO     CMN            16941M109      351      7,506 SH       SOLE       2             7,506          0       0
CHINA PETROLEUM & CH     CMN            16941R108  411,867  4,060,300 SH       SOLE       2         4,060,300          0       0
CHINA SECURITY & SUR     CMN            16942J105    1,079    203,691 SH       SOLE       2           203,691          0       0
CHIPOTLE MEXICAN GRI     CMN            169656105      530      1,721 SH       SOLE       2             1,721          0       0
CHIQUITA BRANDS INTE     CMN            170032809      898     69,000 SH       DEFINED    1                       69,000       0
CHIQUITA BRANDS INTE     CMN            170032809       21      1,582 SH       DEFINED    2                        1,582       0
CIA CERVECERIAS UNID     CMN            204429104      390      6,630 SH       SOLE       2             6,630          0       0
CIA SIDERURGICA NACI     CMN            20440W105    2,697    216,549 SH       DEFINED    2                      216,549       0
CIA SIDERURGICA NACI     CMN            20440W105      324     26,047 SH       DEFINED    2                       26,047       0
CIBER INC COM USD0.0     CMN            17163B102       55     10,000 SH       SOLE       2            10,000          0       0
CIENA CORP COM STK U     CMN            171779309    2,146    116,800 SH       DEFINED    1                      116,800       0
CIENA CORP COM STK U     CMN            171779309       66      3,600 SH       DEFINED    2                        3,600       0
CIGNA CORP USD0.25       CMN            125509109        8        160 SH       DEFINED    1                          160       0
CIGNA CORP USD0.25       CMN            125509109      566     11,007 SH       DEFINED    2                       11,007       0
CINCINNATI FINANCIAL     CMN            172062101      330     11,313 SH       SOLE       2            11,313          0       0
CISCO SYSTEMS INC CO     CMN            17275R102   15,087    966,537 SH       DEFINED    2                      966,537       0
CISCO SYSTEMS INC CO     CMN            17275R102   11,353    727,290 SH       DEFINED    2                      727,290       0
CIT GROUP INC            CMN            125581801      289      6,524 SH       SOLE       4             6,524          0       0
CIT GROUP INC/NEW CO     CMN            125581801      210      4,752 SH       SOLE       2             4,752          0       0
CITIGROUP INC USD0.0     CMN            172967424   35,020    841,010 SH       DEFINED    2                      841,010       0
Citigroup Inc.           CMN            172967101    2,030     48,751 SH       SOLE       3            48,751          0       0
CITRIX SYSTEMS INC C     CMN            177376100    1,665     20,808 SH       SOLE       2            20,808          0       0
CLAYTON WILLIAMS ENE     CMN            969490101      330      5,489 SH       SOLE       2             5,489          0       0
CLEARWIRE CORP COM S     CMN            18538Q105       18      4,700 SH       DEFINED    1                        4,700       0
CLEARWIRE CORP COM S     CMN            18538Q105       39     10,351 SH       DEFINED    2                       10,351       0
CLIFFS NATURAL RESOU     CMN            18683K101      361      3,905 SH       DEFINED    2                        3,905       0
CLIFFS NATURAL RESOU     CMN            18683K101      849      9,184 SH       DEFINED    2                        9,184       0
CNINSURE INC-ADR ADS     CMN            18976M103    2,983    202,478 SH       SOLE       2           202,478          0       0
CNOOC LTD HKD0.02        CMN            126132109    8,022     34,000 SH       SOLE       2            34,000          0       0
COACH INC COM USD0.0     CMN            189754104      396      6,196 SH       DEFINED    1                        6,196       0
COACH INC COM USD0.0     CMN            189754104      639      9,999 SH       DEFINED    2                        9,999       0
COCA-COLA CO/THE COM     CMN            191216100    3,163     47,007 SH       SOLE       2            47,007          0       0
COCA-COLA FEMSA SAB      CMN            191241108      390      4,190 SH       SOLE       2             4,190          0       0
COEUR D'ALENE MINES      CMN            192108504      606     24,978 SH       SOLE       2            24,978          0       0
COGNIZANT TECH SOLUT     CMN            192446102    1,692     23,067 SH       SOLE       2            23,067          0       0
COINSTAR INC COM USD     CMN            19259P300    3,925     71,955 SH       DEFINED    1                       71,955       0
COINSTAR INC COM USD     CMN            19259P300      550     10,084 SH       DEFINED    2                       10,084       0
COLGATE-PALMOLIVE CO     CMN            194162103      231      2,647 SH       SOLE       2             2,647          0       0
COLUMBIA BANKING SYS     CMN            197236102      328     19,054 SH       SOLE       2            19,054          0       0
COMCAST CORP COM CLS     CMN            20030N101      848     33,453 SH       DEFINED    1                       33,453       0
COMCAST CORP COM CLS     CMN            20030N101      237      9,365 SH       DEFINED    2                        9,365       0
COMERICA INC COM USD     CMN            200340107      396     11,449 SH       SOLE       2            11,449          0       0
COMMUNITY HEALTH SYS     CMN            203668108      501     19,500 SH       SOLE       2            19,500          0       0
COMPLETE PRODUCTION      CMN            20453E109      385     11,526 SH       SOLE       2            11,526          0       0
ConocoPhillips           CMN            20825C104    4,800     63,838 SH       SOLE       3            63,838          0       0
CONOCOPHILLIPS COM U     CMN            20825C104       14        190 SH       DEFINED    1                          190       0
CONOCOPHILLIPS COM U     CMN            20825C104    4,616     61,394 SH       DEFINED    2                       61,394       0
CONSOL ENERGY INC CO     CMN            20854P109       11        230 SH       DEFINED    1                          230       0
CONSOL ENERGY INC CO     CMN            20854P109      623     12,847 SH       DEFINED    2                       12,847       0
CONSOLIDATED EDISON      CMN            209115104      362      6,797 SH       SOLE       2             6,797          0       0
CONSUMER STAPLES SPD     CMN            81369Y308      374     11,989 SH       SOLE       2            11,989          0       0
CONVERGYS CORP COM N     CMN            212485106      872     63,902 SH       DEFINED    1                       63,902       0
CONVERGYS CORP COM N     CMN            212485106      151     11,076 SH       DEFINED    2                       11,076       0
COORS(ADOLPH)CO COM      CMN            60871R209      188      4,200 SH       DEFINED    1                        4,200       0
COORS(ADOLPH)CO COM      CMN            60871R209       64      1,434 SH       DEFINED    2                        1,434       0
CORCEPT THERAPEUTICS     CMN            218352102      797    200,000 SH       SOLE       1           200,000          0       0
CORE MARK HOLDING CO     CMN            218681104       70      1,966 SH       SOLE       4             1,966          0       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
CORN PRODUCTS INTERN     CMN            219023108       17        300 SH       DEFINED    1                          300       0
CORN PRODUCTS INTERN     CMN            219023108      403      7,296 SH       DEFINED    2                        7,296       0
CORNING INC COM USD0     CMN            219350105    2,040    112,343 SH       SOLE       2           112,343          0       0
COSTAMARE INC COM NP     CMN            Y1771G102      207     12,196 SH       SOLE       2            12,196          0       0
COSTCO WHOLESALE COR     CMN            22160K105    1,023     12,591 SH       SOLE       2            12,591          0       0
COVANTA HOLDING CORP     CMN            22282E102      148      9,000 SH       DEFINED    1                        9,000       0
COVANTA HOLDING CORP     CMN            22282E102       30      1,800 SH       DEFINED    2                        1,800       0
COVIDIEN PLC COM STK     CMN            G2554F113      334      6,266 SH       SOLE       2             6,266          0       0
COWEN GROUP INC COM      CMN            223622101    2,219    589,226 SH       SOLE       1           589,226          0       0
CREE INC COM USD0.00     CMN            225447101    1,414     42,099 SH       SOLE       2            42,099          0       0
CROSSTEX ENERGY INC      CMN            22765Y104   27,384  2,300,000 SH       SOLE       2         2,300,000          0       0
CSX CORP COM USD1        CMN            126408103        8        300 SH       DEFINED    1                          300       0
CSX CORP COM USD1        CMN            126408103      390     14,871 SH       DEFINED    2                       14,871       0
CTRIP.COM INTL LTD A     CMN            22943F100    1,153     26,761 SH       SOLE       2            26,761          0       0
CUBIST PHARMACEUTICA     CMN            229678107    1,559     43,337 SH       SOLE       2            43,337          0       0
CUMMINS INC COM USD2     CMN            231021106    1,377     13,304 SH       SOLE       2            13,304          0       0
CVR ENERGY INC COM S     CMN            12662P108      436     17,695 SH       SOLE       2            17,695          0       0
CYPRESS SEMICONDUCTO     CMN            232806109       21      1,000 SH       DEFINED    1                        1,000       0
CYPRESS SEMICONDUCTO     CMN            232806109    5,082    240,376 SH       DEFINED    2                      240,376       0
CYPRESS SHARPRIDGE I     CMN            23281A307      231     18,000 SH       SOLE       2            18,000          0       0
DANAHER CORP COM USD     CMN            235851102      408      7,695 SH       DEFINED    1                        7,695       0
DANAHER CORP COM USD     CMN            235851102      601     11,344 SH       DEFINED    2                       11,344       0
DARDEN RESTAURANTS I     CMN            237194105      410      8,247 SH       SOLE       2             8,247          0       0
DECKERS OUTDOOR CORP     CMN            243537107    1,251     14,188 SH       SOLE       2            14,188          0       0
DEERE & CO COM USD1      CMN            244199105       25        300 SH       DEFINED    1                          300       0
DEERE & CO COM USD1      CMN            244199105      116      1,402 SH       DEFINED    2                        1,402       0
DEERE & CO COM USD1      CMN            244199105    2,402     29,126 SH       DEFINED    2                       29,126       0
DELL INC COM USD0.01     CMN            24702R101    3,772    226,265 SH       SOLE       2           226,265          0       0
DELTA AIR LINES INC      CMN            247361702    1,473    160,573 SH       SOLE       2           160,573          0       0
DENBURY RES INC DE C     CMN            247916208       61      3,040 SH       DEFINED    1                        3,040       0
DENBURY RES INC DE C     CMN            247916208      177      8,872 SH       DEFINED    2                        8,872       0
DENDREON CORP COM US     CMN            24823Q107      415     10,512 SH       SOLE       2            10,512          0       0
DENTSPY INTL INC COM     CMN            249030107      810     21,266 SH       SOLE       2            21,266          0       0
DEUTSCHE BANK AG NPV     CMN            D18190898    1,110     18,741 SH       SOLE       2            18,741          0       0
DEVON ENERGY CORP CO     CMN            25179M103       21        270 SH       DEFINED    1                          270       0
DEVON ENERGY CORP CO     CMN            25179M103    1,126     14,292 SH       DEFINED    2                       14,292       0
DEX ONE CORP             CMN            25212W100      773    305,589 SH       SOLE       4           249,939          0  55,650
DIAMOND OFFSHORE DRI     CMN            25271C102       12        170 SH       DEFINED    1                          170       0
DIAMOND OFFSHORE DRI     CMN            25271C102      610      8,667 SH       DEFINED    2                        8,667       0
DIAMONDS TST SERIES      CMN            78467X109    5,696     46,000 SH       DEFINED    1                       46,000       0
DIAMONDS TST SERIES      CMN            78467X109      831      6,710 SH       DEFINED    2                        6,710       0
DIANA SHIPPING INC C     CMN            Y2066G104      460     41,973 SH       SOLE       2            41,973          0       0
DIGITAL REALTY TRUST     CMN            253868103       12        200 SH       DEFINED    1                          200       0
DIGITAL REALTY TRUST     CMN            253868103      271      4,394 SH       DEFINED    2                        4,394       0
DISCOVER FINANCIAL S     CMN            254709108      389     14,559 SH       DEFINED    1                       14,559       0
DISCOVER FINANCIAL S     CMN            254709108      661     24,725 SH       DEFINED    2                       24,725       0
DISCOVERY COMMUNICAT     CMN            25470F104    1,249     30,496 SH       SOLE       2            30,496          0       0
DISH NETWORK CORP CL     CMN            25470M109      482     15,699 SH       SOLE       2            15,699          0       0
DOLBY LABORATORIES I     CMN            25659T107      202      4,768 SH       SOLE       2             4,768          0       0
DOLLAR FINANCIAL COR     CMN            256664103      417     19,269 SH       SOLE       2            19,269          0       0
DOLLAR GENERAL CORP      CMN            256677105       31        900 SH       DEFINED    1                          900       0
DOLLAR GENERAL CORP      CMN            256677105      243      7,177 SH       DEFINED    2                        7,177       0
DOLLAR THRIFTY AUTOM     CMN            256743105    6,204     84,135 SH       DEFINED    1                       84,135       0
DOLLAR THRIFTY AUTOM     CMN            256743105       97      1,316 SH       DEFINED    2                        1,316       0
DOLLAR TREE INC COM      CMN            256746108      256      3,847 SH       DEFINED    2                        3,847       0
Dollar Tree, Inc.        CMN            256746108      230      3,452 SH       SOLE       3             3,452          0       0
DOMINION RESOURCES I     CMN            25746U109        5        100 SH       DEFINED    1                          100       0
DOMINION RESOURCES I     CMN            25746U109      207      4,285 SH       DEFINED    2                        4,285       0
DOMTAR CORP USD0.01      CMN            257559203       57        600 SH       DEFINED    1                          600       0
DOMTAR CORP USD0.01      CMN            257559203      258      2,723 SH       DEFINED    2                        2,723       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
DONNELLEY (RR) & SON     CMN            257867101      304     15,500 SH       DEFINED    1                       15,500       0
DONNELLEY (RR) & SON     CMN            257867101    2,305    117,528 SH       DEFINED    2                      117,528       0
DOVER CORP COM USD1      CMN            260003108      368      5,430 SH       DEFINED    1                        5,430       0
DOVER CORP COM USD1      CMN            260003108      182      2,684 SH       DEFINED    2                        2,684       0
DOW CHEMICAL CO/THE      CMN            260543103    2,110     58,612 SH       DEFINED    1                       58,612       0
DOW CHEMICAL CO/THE      CMN            260543103      599     16,633 SH       DEFINED    2                       16,633       0
DPL INC COM USD0.01      CMN            233293109   12,721    421,823 SH       SOLE       2           421,823          0       0
DRYSHIPS INC COM USD     CMN            Y2109Q101      116     27,630 SH       SOLE       2            27,630          0       0
DTS INC/DE COM USD0.     CMN            23335C101      575     14,186 SH       SOLE       2            14,186          0       0
DU PONT EI DE NEMOUR     CMN            263534109      819     15,154 SH       SOLE       2            15,154          0       0
DUN & BRADSTREET COR     CMN            26483E100      312      4,133 SH       SOLE       2             4,133          0       0
DUNCAN ENERGY PART C     CMN            265026104    1,069     24,700 SH       SOLE       1            24,700          0       0
E*TRADE FINANCIAL CO     CMN            269246401      353     25,600 SH       DEFINED    1                       25,600       0
E*TRADE FINANCIAL CO     CMN            269246401    1,428    103,507 SH       DEFINED    2                      103,507       0
EAGLE BULK SHIPPING      CMN            Y2187A101      168     67,520 SH       SOLE       2            67,520          0       0
EASTMAN CHEMICAL CO      CMN            277432100       20        200 SH       DEFINED    1                          200       0
EASTMAN CHEMICAL CO      CMN            277432100      343      3,363 SH       DEFINED    2                        3,363       0
EASTMAN KODAK CO COM     CMN            277461109    2,412    674,042 SH       SOLE       2           674,042          0       0
EATON CORP COM USD0.     CMN            278058102      760     14,773 SH       SOLE       2            14,773          0       0
EBAY INC COM USD0.00     CMN            278642103    1,691     52,400 SH       DEFINED    1                       52,400       0
EBAY INC COM USD0.00     CMN            278642103    1,152     35,695 SH       DEFINED    2                       35,695       0
EDUCATION MANAGEMENT     CMN            28140M103        2        100 SH       DEFINED    1                          100       0
EDUCATION MANAGEMENT     CMN            28140M103      307     12,814 SH       DEFINED    2                       12,814       0
EDWARDS LIFESCIENCES     CMN            28176E108      248      2,842 SH       SOLE       2             2,842          0       0
ELDORADO GOLD CORP C     CMN            284902103    4,729    320,950 SH       SOLE       2           320,950          0       0
ELECTRONIC ARTS INC      CMN            285512109    1,658     70,268 SH       SOLE       2            70,268          0       0
ELECTRONIC SENSOR TE     CMN            285835104      121  7,750,000 SH       SOLE       1         7,750,000          0       0
ELI LILLY & CO COM N     CMN            532457108       39      1,030 SH       DEFINED    1                        1,030       0
ELI LILLY & CO COM N     CMN            532457108      253      6,729 SH       DEFINED    2                        6,729       0
EMC CORP/MASSACHUSET     CMN            268648102   24,421    886,517 SH       DEFINED    1                      886,517       0
EMC CORP/MASSACHUSET     CMN            268648102      310     11,245 SH       DEFINED    2                       11,245       0
EMERSON ELECTRIC CO      CMN            291011104      493      8,756 SH       SOLE       2             8,756          0       0
ENER1 INC COM USD0.0     CMN            29267A203       23     21,429 SH       SOLE       2            21,429          0       0
ENERGY CONVERSION DE     CMN            292659109       58     49,190 SH       SOLE       2            49,190          0       0
ENI SPA EUR1             CMN            26874R108      352      7,396 SH       SOLE       2             7,396          0       0
ENSCO PLC COM USD0.1     CMN            29358Q109      476      8,936 SH       SOLE       2             8,936          0       0
ENTEGRIS INC COM USD     CMN            29362U104      279     27,559 SH       SOLE       2            27,559          0       0
ENTERGY CORP COM USD     CMN            29364G103      433      6,346 SH       SOLE       2             6,346          0       0
ENTROPIC COMMUNICATI     CMN            29384R105      381     42,802 SH       DEFINED    1                       42,802       0
ENTROPIC COMMUNICATI     CMN            29384R105       31      3,487 SH       DEFINED    2                        3,487       0
ENVIRONMENTAL SOLUTI     CMN            29408K102        1     15,000 SH       SOLE       2            15,000          0       0
ENZON PHARMACEUTICAL     CMN            293904108      345     34,381 SH       SOLE       2            34,381          0       0
EOG RESOURCES INC CO     CMN            26875P101       19        180 SH       DEFINED    1                          180       0
EOG RESOURCES INC CO     CMN            26875P101      250      2,387 SH       DEFINED    2                        2,387       0
EQUINIX INC COM NPV      CMN            29444U502   15,533    153,772 SH       DEFINED    2                      153,772       0
EQUINIX INC COM NPV      CMN            29444U502       42        420 SH       DEFINED    2                          420       0
EQUITY RESIDENTIAL S     CMN            29476L107      374      6,232 SH       SOLE       2             6,232          0       0
ESTEE LAUDER COS INC     CMN            518439104      429      4,080 SH       SOLE       2             4,080          0       0
ESTERLINE TECHNOLOGI     CMN            297425100    5,130     67,140 SH       SOLE       1            67,140          0       0
EXCEL MARITIME CARRI     CMN            V3267N107       41     13,194 SH       SOLE       2            13,194          0       0
EXCO RESOURCES INC C     CMN            269279402    8,192    463,962 SH       SOLE       2           463,962          0       0
EXELON CORP COM NPV      CMN            30161N101    1,606     37,489 SH       SOLE       2            37,489          0       0
EXPEDITORS INTL WASH     CMN            302130109    1,947     38,036 SH       SOLE       2            38,036          0       0
EXPRESS SCRIPTS INC      CMN            302182100       11        200 SH       DEFINED    1                          200       0
EXPRESS SCRIPTS INC      CMN            302182100    7,137    132,201 SH       DEFINED    2                      132,201       0
EXXON MOBIL CORP COM     CMN            30231G102   12,958    159,233 SH       DEFINED    1                      159,233       0
EXXON MOBIL CORP COM     CMN            30231G102    5,909     72,620 SH       DEFINED    2                       72,620       0
EXXON MOBIL CORP COM     CMN            30231G102   12,362    151,911 SH       DEFINED    2                      151,911       0
F5 NETWORKS INC COM      CMN            315616102    2,066     18,736 SH       SOLE       2            18,736          0       0
FAIRPOINT COMMUNICAT     CMN            305560302      298     32,356 SH       SOLE       4            32,356          0       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
FEDERAL MOGUL CORP       CMN            313549404    1,406     61,602 SH       SOLE       4            61,602          0       0
FEDEX CORP COM USD0.     CMN            31428X106      367      3,873 SH       SOLE       2             3,873          0       0
FEI CO COM NPV           CMN            30241L109      567     14,854 SH       SOLE       2            14,854          0       0
FERRO CORP COM USD1      CMN            315405100      573     42,611 SH       SOLE       2            42,611          0       0
FIFTH THIRD BANCORP      CMN            316773100    1,388    108,839 SH       SOLE       2           108,839          0       0
FIN SELECT SECTOR SP     CMN            81369Y605   17,015  1,108,904 SH       DEFINED    1                    1,108,904       0
FIN SELECT SECTOR SP     CMN            81369Y605      246     16,047 SH       DEFINED    2                       16,047       0
FINANCIAL BEAR 3X SH     CMN            25459W144      383      8,556 SH       SOLE       2             8,556          0       0
FINANCIAL BULL 3X SH     CMN            25459W516      326     12,697 SH       SOLE       2            12,697          0       0
FINISH LINE CLASS'A'     CMN            317923100    1,746     81,567 SH       SOLE       2            81,567          0       0
FIRST MIDWEST BANCOR     CMN            320867104      131     10,677 SH       SOLE       2            10,677          0       0
FIRST SOLAR INC COM      CMN            336433107    1,282      9,689 SH       DEFINED    2                        9,689       0
First Solar, Inc.        CMN            336433107    5,100     38,557 SH       SOLE       3            38,557          0       0
FIRSTENERGY CORP COM     CMN            337932107       31        700 SH       DEFINED    1                          700       0
FIRSTENERGY CORP COM     CMN            337932107      214      4,854 SH       DEFINED    2                        4,854       0
FISERV INC COM USD0.     CMN            337738108    1,854     29,602 SH       SOLE       2            29,602          0       0
FLEXTRONICS INTERNAT     CMN            Y2573F102      620     96,523 SH       SOLE       2            96,523          0       0
FLIR SYSTEMS INC COM     CMN            302445101    2,393     71,015 SH       SOLE       2            71,015          0       0
FLOWSERVE CORP COM U     CMN            34354P105      286      2,600 SH       DEFINED    1                        2,600       0
FLOWSERVE CORP COM U     CMN            34354P105      120      1,092 SH       DEFINED    2                        1,092       0
FLUOR CORP COM USD0.     CMN            343412102    1,574     24,341 SH       SOLE       2            24,341          0       0
FMC CORP COM STK USD     CMN            302491303       43        500 SH       DEFINED    1                          500       0
FMC CORP COM STK USD     CMN            302491303      248      2,882 SH       DEFINED    2                        2,882       0
FMC TECHNOLOGIES INC     CMN            30249U101       13        280 SH       DEFINED    1                          280       0
FMC TECHNOLOGIES INC     CMN            30249U101      543     12,117 SH       DEFINED    2                       12,117       0
FOCUS MEDIA HOLDING      CMN            34415V109    9,300    299,106 SH       DEFINED    2                      299,106       0
FOCUS MEDIA HOLDING      CMN            34415V109       43      1,377 SH       DEFINED    2                        1,377       0
FORD MOTOR CO COM ST     CMN            345370134      292     55,809 SH       DEFINED    1                       55,809       0
FORD MOTOR CO COM ST     CMN            345370860    3,097    224,500 SH       DEFINED    1                      224,500       0
FORD MOTOR CO COM ST     CMN            345370134    6,258  1,195,652 SH       DEFINED    2                    1,195,652       0
FORD MOTOR CO COM ST     CMN            345370860    4,533    328,536 SH       DEFINED    2                      328,536       0
Ford Motor Company       CMN            345370860   19,400  1,406,817 SH       SOLE       3         1,406,817          0       0
FOREST CITY ENTS CLA     CMN            345550107        4        200 SH       DEFINED    1                          200       0
FOREST CITY ENTS CLA     CMN            345550107    2,102    112,584 SH       DEFINED    2                      112,584       0
FORTRESS INVESTM         CMN            34958B106  344,780 60,487,666 SH       SOLE       1        60,487,666          0       0
FORWARD AIR CORPORAT     CMN            349853101      492     14,559 SH       SOLE       2            14,559          0       0
FOSSIL INC COM USD0.     CMN            349882100      513      4,356 SH       SOLE       2             4,356          0       0
FOSTER WHEELER AG CH     CMN            H27178104    1,420     46,754 SH       SOLE       2            46,754          0       0
FPIC INSURANCE GP US     CMN            302563101    1,020     24,471 SH       SOLE       1            24,471          0       0
FRANKLIN RESOURCES I     CMN            354613101      364      2,771 SH       DEFINED    1                        2,771       0
FRANKLIN RESOURCES I     CMN            354613101      209      1,595 SH       DEFINED    2                        1,595       0
FREEPORT-MCMORAN COP     CMN            35671D857    7,101    134,226 SH       DEFINED    1                      134,226       0
FREEPORT-MCMORAN COP     CMN            35671D857    2,163     40,878 SH       DEFINED    2                       40,878       0
FREEPORT-MCMORAN COP     CMN            35671D857    2,791     52,756 SH       DEFINED    2                       52,756       0
FRONTIER COMMUNICATI     CMN            35906A108      406     50,341 SH       DEFINED    1                       50,341       0
FRONTIER COMMUNICATI     CMN            35906A108        2        226 SH       DEFINED    2                          226       0
FRONTIER COMMUNICATI     CMN            35906A108       47      5,868 SH       DEFINED    2                        5,868       0
FRONTIER OIL CORP CO     CMN            35914P105   28,160    871,483 SH       DEFINED    1                      871,483       0
FRONTIER OIL CORP CO     CMN            35914P105      768     23,764 SH       DEFINED    2                       23,764       0
FUELCELL ENERGY INC      CMN            35952H106       99     75,066 SH       SOLE       2            75,066          0       0
GAFISA SA COM NPV        CMN            362607301      249     26,300 SH       SOLE       2            26,300          0       0
GAP INC/THE COM USD0     CMN            364760108       18      1,000 SH       DEFINED    1                        1,000       0
GAP INC/THE COM USD0     CMN            364760108      721     39,872 SH       DEFINED    2                       39,872       0
GARMIN LTD USD10         CMN            H2906T109    1,356     41,065 SH       SOLE       2            41,065          0       0
GAYLORD ENTERTAINMEN     CMN            367905106    1,057     35,229 SH       DEFINED    1                       35,229       0
GAYLORD ENTERTAINMEN     CMN            367905106    2,781     92,709 SH       DEFINED    2                       92,709       0
GAYLORD ENTERTAINMEN     CMN            367905106       11        375 SH       DEFINED    2                          375       0
GENCO SHIPPING & TRA     CMN            Y2685T107      257     34,175 SH       SOLE       2            34,175          0       0
GENERAL DYNAMICS COR     CMN            369550108      661      8,866 SH       SOLE       2             8,866          0       0
GENERAL ELECTRIC CO      CMN            369604103    3,291    174,508 SH       DEFINED    1                      174,508       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
GENERAL ELECTRIC CO      CMN            369604103      279     14,775 SH       DEFINED    2                       14,775       0
GENERAL ELECTRIC CO      CMN            369604103    9,055    480,115 SH       DEFINED    2                      480,115       0
GENERAL MARITIME COR     CMN            Y2693R101       23     16,750 SH       SOLE       2            16,750          0       0
GENERAL MARITIME COR     CMN            Y2693R101      169    125,000 SH       SOLE       4           125,000          0       0
GENERAL MILLS INC CO     CMN            370334104    1,378     37,032 SH       DEFINED    1                       37,032       0
GENERAL MILLS INC CO     CMN            370334104      494     13,284 SH       DEFINED    2                       13,284       0
General Motors           CMN            370334104    2,700     88,933 SH       SOLE       3            88,933          0       0
GENERAL MOTORS CO 0.     CMN            37045V100   26,655    877,989 SH       DEFINED    1                      877,989       0
GENERAL MOTORS CO 0.     CMN            37045V100    1,114     36,709 SH       DEFINED    2                       36,709       0
GENERAL MOTORS CO 0.     CMN            37045V100    1,388     45,725 SH       DEFINED    2                       45,725       0
GENERAL MTRS CO          CMN            37045V100      174      5,722 SH       SOLE       4             1,746          0   3,976
GENERAL MTRS CO          CMN            37045V118      111      5,199 SH       SOLE       4             1,585          0   3,614
GENERAL MTRS CO          CMN            37045V126       83      5,199 SH       SOLE       4             1,585          0   3,614
GENON ENERGY INC COM     CMN            37244E107    3,668    950,291 SH       DEFINED    1                      950,291       0
GENON ENERGY INC COM     CMN            37244E107       11      2,786 SH       DEFINED    2                        2,786       0
GEN-PROBE INC COM US     CMN            36866T103       28        400 SH       DEFINED    1                          400       0
GEN-PROBE INC COM US     CMN            36866T103      346      5,000 SH       DEFINED    2                        5,000       0
GERDAU SA PRF NPV        CMN            373737105    6,230    592,429 SH       DEFINED    2                      592,429       0
GERDAU SA PRF NPV        CMN            373737105    1,205    114,553 SH       DEFINED    2                      114,553       0
GERON CORP COM USD0.     CMN            374163103      103     25,745 SH       SOLE       2            25,745          0       0
G-III APPAREL GROUP      CMN            36237H101      332      9,624 SH       SOLE       2             9,624          0       0
GILEAD SCIENCES INC      CMN            375558103   26,019    628,391 SH       DEFINED    2                      628,391       0
GILEAD SCIENCES INC      CMN            375558103      882     21,295 SH       DEFINED    2                       21,295       0
GLACIER BANCORP INC      CMN            37637Q105      325     24,093 SH       SOLE       2            24,093          0       0
GLATFELTER COM USD0.     CMN            377316104      615     40,000 SH       SOLE       1            40,000          0       0
GLAXOSMITHKLINE PLC      CMN            37733W105    2,861     66,686 SH       SOLE       2            66,686          0       0
GLOBE SPECIALTY META     CMN            37954N206      733     32,692 SH       SOLE       2            32,692          0       0
GMX RESOURCES INC CO     CMN            38011M108       58     13,123 SH       SOLE       2            13,123          0       0
GOL LINHAS AEREAS SP     CMN            38045R107      504     41,422 SH       SOLE       2            41,422          0       0
GOLDCORP INC COM NPV     CMN            380956409    1,301     26,952 SH       SOLE       2            26,952          0       0
GOODRICH CORP COM US     CMN            382388106      316      3,311 SH       SOLE       2             3,311          0       0
GOODYEAR TIRE & RUBB     CMN            382550101      754     45,000 SH       DEFINED    1                       45,000       0
GOODYEAR TIRE & RUBB     CMN            382550101      172     10,256 SH       DEFINED    2                       10,256       0
GOOGLE INC COM USD0.     CMN            38259P508    8,407     16,603 SH       DEFINED    2                       16,603       0
GOOGLE INC COM USD0.     CMN            38259P508   15,895     31,390 SH       DEFINED    2                       31,390       0
GPO FIN GALICIA 'B'A     CMN            399909100      542     39,990 SH       SOLE       2            39,990          0       0
GREENBRIER COS INC C     CMN            393657101      679     34,346 SH       DEFINED    1                       34,346       0
GREENBRIER COS INC C     CMN            393657101       27      1,388 SH       DEFINED    2                        1,388       0
GRIFOLS SA COM NPV       CMN            398438309      227     30,170 SH       SOLE       1            30,170          0       0
GUESS-INC COM STK US     CMN            401617105      383      9,103 SH       SOLE       2             9,103          0       0
HAIN CELESTIAL GROUP     CMN            405217100      233      6,979 SH       SOLE       2             6,979          0       0
HALLIBURTON CO COM U     CMN            406216101        7        140 SH       DEFINED    1                          140       0
HALLIBURTON CO COM U     CMN            406216101    4,816     94,428 SH       DEFINED    2                       94,428       0
HANSEN NATURAL CORP      CMN            411310105      463      5,723 SH       SOLE       2             5,723          0       0
HARLEY-DAVIDSON INC      CMN            412822108      307      7,500 SH       DEFINED    1                        7,500       0
HARLEY-DAVIDSON INC      CMN            412822108      477     11,653 SH       DEFINED    2                       11,653       0
HARMONY GOLD MINING      CMN            413216300      141     10,645 SH       SOLE       2            10,645          0       0
HARTFORD FINANCIAL S     CMN            416515104      296     11,206 SH       SOLE       2            11,206          0       0
HASBRO INC COM USD0.     CMN            418056107      504     11,478 SH       SOLE       2            11,478          0       0
HATTERAS FINANCIAL C     CMN            41902R103      397     14,078 SH       SOLE       2            14,078          0       0
HAWAIIAN HOLDINGS IN     CMN            419879101      111     19,486 SH       SOLE       2            19,486          0       0
HCA HOLDINGS INC COM     CMN            40412C101    2,475     75,000 SH       SOLE       1            75,000          0       0
HDFC Bank Limited (A     CMN            40415F101      140        794 SH       SOLE       3               794          0       0
HDFC BANK LTD INR10      CMN            40415F101      280      1,590 SH       DEFINED    2                        1,590       0
HEALTHCARE SERVICES      CMN            421906108      240     14,773 SH       SOLE       2            14,773          0       0
HEALTHSPRING INC USD     CMN            42224N101    5,639    122,300 SH       DEFINED    1                      122,300       0
HEALTHSPRING INC USD     CMN            42224N101       22        487 SH       DEFINED    2                          487       0
HECLA MINING CO COM      CMN            422704106       26      3,390 SH       DEFINED    1                        3,390       0
HECLA MINING CO COM      CMN            422704106    7,161    931,481 SH       DEFINED    2                      931,481       0
HEINZ (HJ) COM USD0.     CMN            423074103      470      8,824 SH       SOLE       2             8,824          0       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
HERBALIFE LTD COM US     CMN            G4412G101      519      9,004 SH       SOLE       2             9,004          0       0
HERCULES OFFSHORE IN     CMN            427093109      661    119,825 SH       SOLE       2           119,825          0       0
HESS CORP COM USD1       CMN            42809H107       19        260 SH       DEFINED    1                          260       0
HESS CORP COM USD1       CMN            42809H107      378      5,054 SH       DEFINED    2                        5,054       0
HESS CORP COM USD1       CMN            42809H107    1,329     17,775 SH       DEFINED    2                       17,775       0
HEWLETT-PACKARD CO C     CMN            428236103    9,964    273,697 SH       DEFINED    2                      273,697       0
HEWLETT-PACKARD CO C     CMN            428236103    4,624    127,024 SH       DEFINED    2                      127,024       0
HIBBETT SPORTS INC C     CMN            428567101    1,262     30,999 SH       SOLE       2            30,999          0       0
HITACHI LTD NPV          CMN            433578507   18,302    307,270 SH       SOLE       2           307,270          0       0
HOLLY CORP COM USD0.     CMN            435758305      526      7,575 SH       SOLE       2             7,575          0       0
HOLOGIC INC COM USD0     CMN            436440101    3,708    183,822 SH       DEFINED    1                      183,822       0
HOLOGIC INC COM USD0     CMN            436440101      760     37,691 SH       DEFINED    2                       37,691       0
HOME DEPOT INC COM U     CMN            437076102    1,110     30,641 SH       SOLE       2            30,641          0       0
HOME PROPERTIES INC      CMN            437306103    5,130     84,277 SH       DEFINED    1                       84,277       0
HOME PROPERTIES INC      CMN            437306103       52        850 SH       DEFINED    2                          850       0
HONEYWELL INTERNATIO     CMN            438516106    4,643     77,904 SH       SOLE       2            77,904          0       0
HOST HOTELS & RESORT     CMN            44107P104      216     12,713 SH       SOLE       2            12,713          0       0
HOT TOPIC INC COM NP     CMN            441339108       96     12,911 SH       SOLE       2            12,911          0       0
HSBC HOLDINGS PLC OR     CMN            404280406      485      9,765 SH       SOLE       2             9,765          0       0
HSN INC NON-VTG USD0     CMN            404303109    1,009     30,653 SH       SOLE       2            30,653          0       0
HUBBELL INC CLASS 'B     CMN            443510201      299      4,600 SH       DEFINED    1                        4,600       0
HUBBELL INC CLASS 'B     CMN            443510201       76      1,164 SH       DEFINED    2                        1,164       0
HUGHES ELECTRONICS C     CMN            25490A101   22,296    438,785 SH       DEFINED    1                      438,785       0
HUGHES ELECTRONICS C     CMN            25490A101    6,071    119,476 SH       DEFINED    2                      119,476       0
HUGHES ELECTRONICS C     CMN            25490A101      171      3,366 SH       DEFINED    2                        3,366       0
HUMAN GENOME SCIENCE     CMN            444903108      934     38,059 SH       SOLE       2            38,059          0       0
HUMANA INC COM USD0.     CMN            444859102      323      4,010 SH       SOLE       2             4,010          0       0
HUNTINGTON BANCSHARE     CMN            446150104      359     54,688 SH       DEFINED    1                       54,688       0
HUNTINGTON BANCSHARE     CMN            446150104      690    105,184 SH       DEFINED    2                      105,184       0
HUNTSMAN CORP COM US     CMN            447011107      325     17,225 SH       SOLE       2            17,225          0       0
HYPERCOM CORP COM US     CMN            44913M105    1,348    137,181 SH       DEFINED    1                      137,181       0
HYPERCOM CORP COM US     CMN            44913M105      204     20,800 SH       DEFINED    2                       20,800       0
IAC/INTERACTIVECORP      CMN            44919P508      442     11,579 SH       SOLE       2            11,579          0       0
Ibero-America Fund I     CMN            45082X103    4,300    565,789 SH       SOLE       3           565,789          0       0
ICICI BANK LTD INR10     CMN            45104G104      141      2,866 SH       DEFINED    2                        2,866       0
ICICI BANK LTD INR10     CMN            45104G104    1,946     39,484 SH       DEFINED    2                       39,484       0
IGATE CAPITAL CORP C     CMN            45169U105      429     26,309 SH       SOLE       2            26,309          0       0
ILLINOIS TOOL WORKS      CMN            452308109       96      1,700 SH       DEFINED    1                        1,700       0
ILLINOIS TOOL WORKS      CMN            452308109      600     10,621 SH       DEFINED    2                       10,621       0
ILLUMINA INC COM USD     CMN            452327109    1,601     21,299 SH       SOLE       2            21,299          0       0
IMAX CORP COM NPV        CMN            45245E109      366     11,291 SH       SOLE       2            11,291          0       0
INCYTE CORP COM USD0     CMN            45337C102    3,633    191,825 SH       DEFINED    1                      191,825       0
INCYTE CORP COM USD0     CMN            45337C102        4        200 SH       DEFINED    2                          200       0
INDEXIQ ETF TR IQ        CMN            45409B651    1,392     67,610 SH       SOLE       1            67,610          0       0
INFORMATION SYSTEMS      CMN            45676R108        3     30,000 SH       SOLE       2            30,000          0       0
INFOSYS LTD INR5         CMN            456788108    6,661    102,109 SH       SOLE       2           102,109          0       0
INGERSOLL-RAND PLC C     CMN            G47791101      665     14,649 SH       SOLE       2            14,649          0       0
INNOPHOS HOLDINGS IN     CMN            45774N108      405      8,302 SH       SOLE       4             8,302          0       0
INNOSPEC INC COM USD     CMN            45768S105      371     11,032 SH       SOLE       2            11,032          0       0
INTEGRA LIFESCI HL C     CMN            457985208    1,441     30,135 SH       DEFINED    1                       30,135       0
INTEGRA LIFESCI HL C     CMN            457985208      205      4,283 SH       DEFINED    2                        4,283       0
INTEGRATED DEVICE TE     CMN            458118106      558     70,965 SH       SOLE       2            70,965          0       0
INTEL CORP COM USD0.     CMN            458140100   10,552    476,256 SH       SOLE       2           476,256          0       0
INTERACTIVE BROKER C     CMN            45841N107        2        100 SH       DEFINED    1                          100       0
INTERACTIVE BROKER C     CMN            45841N107      705     45,012 SH       DEFINED    2                       45,012       0
INTERCONTINENTALEXCH     CMN            45865V100      212      1,701 SH       SOLE       2             1,701          0       0
INTERNATIONAL BUSINE     CMN            459200101    3,963     23,100 SH       SOLE       2            23,100          0       0
INTERNATIONAL GAME T     CMN            459902102    5,847    332,616 SH       DEFINED    1                      332,616       0
INTERNATIONAL GAME T     CMN            459902102   10,086    573,793 SH       DEFINED    2                      573,793       0
INTERNATIONAL GAME T     CMN            459902102      108      6,147 SH       DEFINED    2                        6,147       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
INTEROIL CORP COM NP     CMN            460951106      330      5,640 SH       SOLE       2             5,640          0       0
INTERPUBLIC GROUP OF     CMN            460690100      141     11,319 SH       SOLE       2            11,319          0       0
INTRALINKS HOLDINGS      CMN            46118H104    2,489    144,000 SH       SOLE       1           144,000          0       0
INTREPID POTASH INC      CMN            46121Y102      582     17,908 SH       DEFINED    1                       17,908       0
INTREPID POTASH INC      CMN            46121Y102       44      1,357 SH       DEFINED    2                        1,357       0
INTUIT INC COM USD0.     CMN            461202103    3,789     73,059 SH       SOLE       2            73,059          0       0
IPATH INVERSE S&P 50     CMN            06740L592      717     20,000 SH       SOLE       2            20,000          0       0
IPATH S&P 500 VIX SH     CMN            06740C261    2,378    112,477 SH       SOLE       2           112,477          0       0
ISHARES FTSE/CHINA 2     CMN            464287184       94      2,200 SH       DEFINED    1                        2,200       0
ISHARES FTSE/CHINA 2     CMN            464287184    8,104    188,677 SH       DEFINED    2                      188,677       0
ISHARES GSCI COMMODI     CMN            46428R107      201      5,900 SH       SOLE       1             5,900          0       0
ISHARES INC - MSCI T     CMN            464286731      175     11,500 SH       SOLE       2            11,500          0       0
ISHARES INC MSCI JAP     CMN            464286848      197     18,917 SH       SOLE       2            18,917          0       0
ISHARES MSCI BRAZIL      CMN            464286400      505      6,882 SH       DEFINED    2                        6,882       0
ISHARES MSCI BRAZIL      CMN            464286400    1,886     25,709 SH       DEFINED    2                       25,709       0
ISHARES SILVER TST I     CMN            46428Q109      424     12,532 SH       SOLE       1            12,532          0       0
ISHARES TRUST DOW JO     CMN            464287739   13,428    222,700 SH       DEFINED    1                      222,700       0
ISHARES TRUST DOW JO     CMN            464287739    1,078     17,883 SH       DEFINED    2                       17,883       0
ISHARES TRUST GOLDMA     CMN            464287242    1,291     11,723 SH       SOLE       2            11,723          0       0
ISHARES TRUST MSCI E     CMN            464287234    2,380     50,000 SH       DEFINED    1                       50,000       0
ISHARES TRUST MSCI E     CMN            464287234      180      3,778 SH       DEFINED    2                        3,778       0
ISHARES TRUST MSCI E     CMN            464287234   44,725    939,714 SH       DEFINED    2                      939,714       0
ISHARES TRUST RUSSEL     CMN            464287499      656      6,000 SH       SOLE       1             6,000          0       0
ISHARES TRUST S&P SM     CMN            464287887      241      3,000 SH       SOLE       1             3,000          0       0
ITRON INC COM NPV        CMN            465741106    1,445     30,000 SH       SOLE       2            30,000          0       0
ITT EDUCATIONAL SERV     CMN            45068B109      258      3,300 SH       DEFINED    1                        3,300       0
ITT EDUCATIONAL SERV     CMN            45068B109      134      1,716 SH       DEFINED    2                        1,716       0
IVANHOE MINES LTD/CA     CMN            46579N103    4,086    161,527 SH       DEFINED    2                      161,527       0
IVANHOE MINES LTD/CA     CMN            46579N103    1,879     74,283 SH       DEFINED    2                       74,283       0
IXIA COM NPV             CMN            45071R109      512     40,016 SH       SOLE       2            40,016          0       0
J2 GLOBAL COMMUNICAT     CMN            46626E205      334     11,830 SH       SOLE       2            11,830          0       0
JAGUAR MINING INC CO     CMN            47009M103      110     23,085 SH       SOLE       2            23,085          0       0
JC PENNEY CO INC COM     CMN            708160106       48      1,400 SH       DEFINED    1                        1,400       0
JC PENNEY CO INC COM     CMN            708160106      288      8,340 SH       DEFINED    2                        8,340       0
JDA SOFTWARE INC COM     CMN            46612K108      242      7,842 SH       SOLE       2             7,842          0       0
JOHNSON & JOHNSON CO     CMN            478160104    3,170     47,664 SH       SOLE       2            47,664          0       0
JOHNSON CONTROLS INC     CMN            478366107      276      6,624 SH       SOLE       2             6,624          0       0
JOY GLOBAL INC COM U     CMN            481165108       10        100 SH       DEFINED    1                          100       0
JOY GLOBAL INC COM U     CMN            481165108    3,032     31,836 SH       DEFINED    2                       31,836       0
JP MORGAN CHASE BANK     CMN            46625H100      375      9,155 SH       DEFINED    1                        9,155       0
JPMORGAN CHASE & CO      CMN            46625H100    1,118     27,306 SH       DEFINED    2                       27,306       0
JPMORGAN CHASE & CO      CMN            46625H100   12,533    306,161 SH       DEFINED    2                      306,161       0
JPMorgan Chase & Co      CMN            46625H100      272      6,644 SH       SOLE       3             6,644          0       0
JUNIPER NETWORKS INC     CMN            48203R104      456     14,461 SH       SOLE       2            14,461          0       0
KAISER ALUMINUM CORP     CMN            483007704    4,585     83,944 SH       SOLE       2            83,944          0       0
KANSAS CITY SOUTHERN     CMN            485170302      225      3,800 SH       SOLE       2             3,800          0       0
KB HOME COM STK USD1     CMN            48666K109      202     20,697 SH       SOLE       2            20,697          0       0
KENDLE INTERNATIONAL     CMN            48880L107    1,508    100,000 SH       SOLE       2           100,000          0       0
KENEXA CORP COM USD0     CMN            488879107      235      9,803 SH       SOLE       2             9,803          0       0
KEY ENERGY SERVICES      CMN            492914106      279     15,500 SH       SOLE       2            15,500          0       0
KILROY REALTY CORP C     CMN            49427F108    4,959    125,600 SH       DEFINED    1                      125,600       0
KILROY REALTY CORP C     CMN            49427F108        4        100 SH       DEFINED    2                          100       0
KIMBERLY-CLARK CORP      CMN            494368103      359      5,386 SH       DEFINED    2                        5,386       0
KIMBERLY-CLARK CORP      CMN            494368103      300      4,501 SH       DEFINED    2                        4,501       0
KINROSS GOLD CORP CO     CMN            496902404    1,014     64,178 SH       SOLE       2            64,178          0       0
KLA-TENCOR CORP COM      CMN            482480100      668     16,511 SH       SOLE       2            16,511          0       0
KNIGHT CAPITAL GROUP     CMN            499005106    4,616    419,065 SH       DEFINED    2                      419,065       0
KNIGHT CAPITAL GROUP     CMN            499005106       18      1,665 SH       DEFINED    2                        1,665       0
KODIAK OIL & GAS COR     CMN            50015Q100       77     13,299 SH       SOLE       2            13,299          0       0
KOHL'S CORP COM USD0     CMN            500255104    2,699     53,971 SH       DEFINED    1                       53,971       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
KOHL'S CORP COM USD0     CMN            500255104      342      6,844 SH       DEFINED    2                        6,844       0
Korea Equity Fund In     CMN            50063B104      400     27,663 SH       SOLE       3            27,663          0       0
KRAFT FOODS INC COM      CMN            50075N104    1,430     40,598 SH       SOLE       2            40,598          0       0
KRATON PERFORMANCE P     CMN            50077C106      275      7,020 SH       SOLE       2             7,020          0       0
KULICKE & SOFFA INDU     CMN            501242101      492     44,171 SH       SOLE       2            44,171          0       0
L-1 IDENTITY SOLUTIO     CMN            50212A106    5,034    428,400 SH       DEFINED    1                      428,400       0
L-1 IDENTITY SOLUTIO     CMN            50212A106    9,636    820,097 SH       DEFINED    2                      820,097       0
LAM RESEARCH CORP CO     CMN            512807108      713     16,100 SH       DEFINED    1                       16,100       0
LAM RESEARCH CORP CO     CMN            512807108    2,314     52,252 SH       DEFINED    2                       52,252       0
LAMAR ADVERTISING CO     CMN            512815101      172      6,300 SH       DEFINED    1                        6,300       0
LAMAR ADVERTISING CO     CMN            512815101      139      5,085 SH       DEFINED    2                        5,085       0
LAS VEGAS SANDS CORP     CMN            517834107      527     12,477 SH       DEFINED    2                       12,477       0
LAS VEGAS SANDS CORP     CMN            517834107    6,438    152,540 SH       DEFINED    2                      152,540       0
LAWSON SOFTWARE INC      CMN            52078P102   10,034    894,400 SH       DEFINED    1                      894,400       0
LAWSON SOFTWARE INC      CMN            52078P102   15,111  1,346,963 SH       DEFINED    2                    1,346,963       0
LDK SOLAR CO LTD ADR     CMN            50183L107    1,324    180,232 SH       SOLE       2           180,232          0       0
LEAR CORP                CMN            521865204      562     10,500 SH       SOLE       4            10,500          0       0
LEAR CORP NON-VTG NP     CMN            521865204      202      3,782 SH       SOLE       2             3,782          0       0
LEGACY BANCORP INC/M     CMN            52463G105      770     55,908 SH       SOLE       1            55,908          0       0
LEGG MASON INC COM U     CMN            524901105      246      7,515 SH       SOLE       2             7,515          0       0
LEHMAN BROTHERS HOLD     CMN            524908100        1     25,333 SH       SOLE       2            25,333          0       0
LENDER PROCESSING SE     CMN            52602E102      506     24,200 SH       DEFINED    1                       24,200       0
LENDER PROCESSING SE     CMN            52602E102       25      1,216 SH       DEFINED    2                        1,216       0
LENNAR CORP COM CL'A     CMN            526057104      437     24,044 SH       SOLE       2            24,044          0       0
LIBERTY GLOBAL INC C     CMN            530555309   10,899    255,223 SH       DEFINED    1                      255,223       0
LIBERTY GLOBAL INC C     CMN            530555101      494     10,960 SH       SOLE       2            10,960          0       0
LIBERTY GLOBAL INC C     CMN            530555309      337      7,891 SH       DEFINED    2                        7,891       0
LIBERTY MEDIA-INTERA     CMN            53071M104   21,803  1,300,431 SH       DEFINED    2                    1,300,431       0
LIBERTY MEDIA-INTERA     CMN            53071M104       58      3,482 SH       DEFINED    2                        3,482       0
LIFE TECHNOLOGIES CO     CMN            53217V109    2,452     47,097 SH       SOLE       2            47,097          0       0
LIFEPOINT HOSPITALS      CMN            53219L109      592     15,145 SH       DEFINED    1                       15,145       0
LIFEPOINT HOSPITALS      CMN            53219L109    1,169     29,912 SH       DEFINED    2                       29,912       0
LINCARE HOLDINGS INC     CMN            532791100      433     14,789 SH       SOLE       2            14,789          0       0
LINCOLN ELECTRIC HOL     CMN            533900106    1,064     29,695 SH       SOLE       2            29,695          0       0
LINCOLN NATIONAL COR     CMN            534187109      358     12,558 SH       SOLE       2            12,558          0       0
LINDSAY CORP COM USD     CMN            535555106      213      3,100 SH       SOLE       2             3,100          0       0
LINEAR TECHNOLOGY CO     CMN            535678106    1,465     44,374 SH       SOLE       2            44,374          0       0
LIZ CLAIBORNE INC CO     CMN            539320101       59     11,120 SH       SOLE       2            11,120          0       0
LLOYDS BANKING GROUP     CMN            539439109    1,140    364,760 SH       SOLE       2           364,760          0       0
LOCKHEED MARTIN CORP     CMN            539830109      408      5,041 SH       SOLE       2             5,041          0       0
LOGITECH INTERNATION     CMN            H50430232      835     74,317 SH       SOLE       2            74,317          0       0
LOOPNET INC COM STK      CMN            543524300    9,665    526,000 SH       DEFINED    1                      526,000       0
LOOPNET INC COM STK      CMN            543524300       31      1,700 SH       DEFINED    2                        1,700       0
LORILLARD INC USD0.0     CMN            544147101      391      3,590 SH       SOLE       2             3,590          0       0
LOWE'S COS INC COM U     CMN            548661107      284     12,203 SH       SOLE       2            12,203          0       0
LPL INVESTMENT HOLDI     CMN            50213H100      394     11,529 SH       SOLE       2            11,529          0       0
LUBRIZOL CORP COM NP     CMN            549271104    9,989     74,400 SH       DEFINED    1                       74,400       0
LUBRIZOL CORP COM NP     CMN            549271104   18,174    135,359 SH       DEFINED    2                      135,359       0
LYONDELLBASELL INDUS     CMN            N53745100    3,956    102,714 SH       DEFINED    2                      102,714       0
LYONDELLBASELL INDUS     CMN            N53745100       77      2,000 SH       DEFINED    2                        2,000       0
LYONDELLBASELL INDUS     CMN            N53745100    5,779    150,036 SH       SOLE       4            39,965          0 110,071
MAGELLAN HLTH SVCS C     CMN            559079207      370      6,769 SH       SOLE       2             6,769          0       0
MAGMA DESIGN AUTOMAT     CMN            559181102      112     14,069 SH       SOLE       2            14,069          0       0
MAGNACHIP SEMICONDUC     CMN            55933J203       56      4,862 SH       SOLE       4             3,432          0   1,430
MAHANAGAR TELEPHONE      CMN            559778402      117     60,000 SH       SOLE       2            60,000          0       0
MANHATTAN ASSOCIATES     CMN            562750109      207      6,013 SH       SOLE       2             6,013          0       0
MANNKIND CORP COM US     CMN            56400P201      120     31,709 SH       SOLE       2            31,709          0       0
MARATHON OIL CORP CO     CMN            565849106        7        130 SH       DEFINED    1                          130       0
MARATHON OIL CORP CO     CMN            565849106    1,462     27,745 SH       DEFINED    2                       27,745       0
MARKET VECTORS - GOL     CMN            57060U100   12,883    235,979 SH       DEFINED    1                      235,979       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
MARKET VECTORS - GOL     CMN            57060U100      136      2,500 SH       DEFINED    2                        2,500       0
MARKET VECTORS ETF S     CMN            57060U506      240      6,237 SH       SOLE       2             6,237          0       0
MARKET VECTORS JUNIO     CMN            57060U589    3,867    112,150 SH       SOLE       1           112,150          0       0
MARRIOTT INTERNATION     CMN            571903202    8,871    250,000 SH       DEFINED    1                      250,000       0
MARRIOTT INTL INC/DE     CMN            571903202      786     22,162 SH       DEFINED    2                       22,162       0
MARSH & MCLENNAN COS     CMN            571748102       50      1,600 SH       DEFINED    1                        1,600       0
MARSH & MCLENNAN COS     CMN            571748102      311      9,969 SH       DEFINED    2                        9,969       0
MARSHALL & ILSLEY CO     CMN            571837103   25,329  3,178,500 SH       DEFINED    1                    3,178,500       0
MARSHALL & ILSLEY CO     CMN            571837103   16,353  2,052,157 SH       DEFINED    2                    2,052,157       0
MARVELL TECHNOLOGY G     CMN            G5876H105      701     47,467 SH       SOLE       2            47,467          0       0
MASTERCARD INC COM U     CMN            57636Q104      332      1,103 SH       DEFINED    2                        1,103       0
MASTERCARD INC COM U     CMN            57636Q104      733      2,434 SH       DEFINED    2                        2,434       0
MasterCard Incorpora     CMN            57636Q104       50        166 SH       SOLE       3               166          0       0
MATTEL INC COM USD1      CMN            577081102      250      9,100 SH       DEFINED    1                        9,100       0
MATTEL INC COM USD1      CMN            577081102      743     27,045 SH       DEFINED    2                       27,045       0
MBIA INC COM USD1        CMN            55262C100    2,374    273,237 SH       DEFINED    1                      273,237       0
MBIA INC COM USD1        CMN            55262C100       79      9,075 SH       DEFINED    2                        9,075       0
MCCLATCHY CO CLASS'A     CMN            579489105      385    137,000 SH       DEFINED    1                      137,000       0
MCCLATCHY CO CLASS'A     CMN            579489105        2        722 SH       DEFINED    2                          722       0
MCDERMOTT INTERNATIO     CMN            580037109      861     43,479 SH       SOLE       2            43,479          0       0
MCDONALD'S CORP COM      CMN            580135101    4,816     57,117 SH       SOLE       2            57,117          0       0
MCG CAPITAL CORP COM     CMN            58047P107       91     14,953 SH       SOLE       2            14,953          0       0
MCKESSON CORP COM US     CMN            58155Q103        8        100 SH       DEFINED    1                          100       0
MCKESSON CORP COM US     CMN            58155Q103      514      6,142 SH       DEFINED    2                        6,142       0
MCMORAN EXPLORATION      CMN            582411104      177      9,600 SH       DEFINED    1                        9,600       0
MCMORAN EXPLORATION      CMN            582411104       96      5,180 SH       DEFINED    2                        5,180       0
MEAD JOHNSON NUTRITI     CMN            582839106      898     13,289 SH       SOLE       2            13,289          0       0
MECHEL OAO               CMN            583840103    9,681    405,217 SH       SOLE       2           405,217          0       0
MEDASSETS INC COM ST     CMN            584045108      165     12,357 SH       SOLE       2            12,357          0       0
MEDCO HEALTH SOLUTIO     CMN            58405U102       38        680 SH       DEFINED    1                          680       0
MEDCO HEALTH SOLUTIO     CMN            58405U102      476      8,415 SH       DEFINED    2                        8,415       0
MEDIA GENERAL INC CL     CMN            584404107      383    100,451 SH       SOLE       1           100,451          0       0
MEDICINES CO/THE COM     CMN            584688105      459     27,788 SH       SOLE       2            27,788          0       0
MEDTRONIC INC COM US     CMN            585055106    1,271     32,988 SH       DEFINED    2                       32,988       0
MEDTRONIC INC COM US     CMN            585055106      178      4,615 SH       DEFINED    2                        4,615       0
MEMC ELECTRONIC MATE     CMN            552715104      224     26,243 SH       SOLE       2            26,243          0       0
MENTOR GRAPHICS CORP     CMN            587200106      450     35,135 SH       SOLE       2            35,135          0       0
MERCADOLIBRE INC COM     CMN            58733R102    1,898     23,918 SH       SOLE       2            23,918          0       0
MERCK & CO INC           CMN            58933Y105      602     17,053 SH       DEFINED    1                       17,053       0
MERCK & CO INC COM U     CMN            58933Y105    4,249    120,372 SH       DEFINED    2                      120,372       0
MERCK & CO INC COM U     CMN            58933Y105    1,671     47,345 SH       DEFINED    2                       47,345       0
MERITOR INC COM USD1     CMN            59001K100      619     38,604 SH       SOLE       1            38,604          0       0
METLIFE INC COM USD0     CMN            59156R108      382      8,700 SH       DEFINED    1                        8,700       0
METLIFE INC COM USD0     CMN            59156R108      838     19,110 SH       DEFINED    2                       19,110       0
MGM RESORTS INTERNAT     CMN            552953101       16      1,200 SH       DEFINED    1                        1,200       0
MGM RESORTS INTERNAT     CMN            552953101       70      5,314 SH       DEFINED    2                        5,314       0
MGM RESORTS INTERNAT     CMN            552953101    1,661    125,768 SH       DEFINED    2                      125,768       0
MICREL INC COM NPV       CMN            594793101      532     50,255 SH       SOLE       2            50,255          0       0
MICROCHIP TECHNOLOGY     CMN            595017104    1,627     42,921 SH       SOLE       2            42,921          0       0
MICRON TECHNOLOGY IN     CMN            595112103        1        100 SH       DEFINED    1                          100       0
MICRON TECHNOLOGY IN     CMN            595112103    1,539    205,583 SH       DEFINED    2                      205,583       0
MICROSEMI CORP COM U     CMN            595137100      430     20,981 SH       SOLE       2            20,981          0       0
MICROSOFT CORP COM U     CMN            594918104    2,605    100,200 SH       DEFINED    1                      100,200       0
MICROSOFT CORP COM U     CMN            594918104    1,258     48,366 SH       DEFINED    2                       48,366       0
MICROSOFT CORP COM U     CMN            594918104    6,676    256,755 SH       DEFINED    2                      256,755       0
MID-AMERICA APARTMEN     CMN            59522J103    5,066     75,087 SH       SOLE       1            75,087          0       0
MILLER ENERGY RESOUR     CMN            600527105      480     75,000 SH       SOLE       1            75,000          0       0
MOBILE TELESYSTEMS O     CMN            607409109   14,068    739,838 SH       SOLE       2           739,838          0       0
MOLYCORP INC COM NPV     CMN            608753109    1,446     23,679 SH       DEFINED    2                       23,679       0
Molycorp, Inc.           CMN            608753109    1,700     27,841 SH       SOLE       3            27,841          0       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
MONSANTO CO COM STK      CMN            61166W101    2,515     34,663 SH       DEFINED    2                       34,663       0
Monsanto Company         CMN            61166W101    6,000     82,713 SH       SOLE       3            82,713          0       0
MORGAN STANLEY COM S     CMN            617446448    4,028    175,000 SH       DEFINED    1                      175,000       0
MORGAN STANLEY COM S     CMN            617446448      488     21,216 SH       DEFINED    2                       21,216       0
MORGAN STANLEY COM S     CMN            617446448    5,024    218,294 SH       DEFINED    2                      218,294       0
MOSAIC CO/THE COM ST     CMN            61945C103        1         14 SH       DEFINED    2                           14       0
MOSAIC CO/THE COM ST     CMN            61945C103    2,850     42,083 SH       DEFINED    2                       42,083       0
MOTOROLA MOBILITY HO     CMN            620097105      269     12,210 SH       SOLE       2            12,210          0       0
MOTOROLA SOLUTIONS I     CMN            620076307      999     21,690 SH       SOLE       2            21,690          0       0
MURPHY OIL CORP COM      CMN            626717102       14        210 SH       DEFINED    1                          210       0
MURPHY OIL CORP COM      CMN            626717102      379      5,766 SH       DEFINED    2                        5,766       0
MYRIAD GENETICS INC      CMN            62855J104    2,125     93,592 SH       SOLE       2            93,592          0       0
NABORS INDUSTRIES LT     CMN            G6359F103      787     31,945 SH       DEFINED    2                       31,945       0
NABORS INDUSTRIES LT     CMN            G6359F103      445     18,071 SH       DEFINED    2                       18,071       0
NALCO HLDG CO COM US     CMN            62985Q101    5,118    184,000 SH       DEFINED    1                      184,000       0
NALCO HLDG CO COM US     CMN            62985Q101       28        989 SH       DEFINED    2                          989       0
NASDAQ 100 INDEX TRA     CMN            73935A104    4,221     74,000 SH       SOLE       2            74,000          0       0
NASDAQ OMX GROUP INC     CMN            631103108      988     39,070 SH       SOLE       2            39,070          0       0
NATIONAL BANK OF GRE     CMN            633643408      139     96,937 SH       SOLE       2            96,937          0       0
NATIONAL OILWELL VAR     CMN            637071101       22        280 SH       DEFINED    1                          280       0
NATIONAL OILWELL VAR     CMN            637071101    1,319     16,867 SH       DEFINED    2                       16,867       0
NATIONAL SEMICONDUCT     CMN            637640103    5,003    203,300 SH       DEFINED    1                      203,300       0
NATIONAL SEMICONDUCT     CMN            637640103   22,034    895,346 SH       DEFINED    2                      895,346       0
NATIONWIDE HEALTH PR     CMN            638620104   25,856    624,437 SH       SOLE       1           624,437          0       0
NAVIOS MARITIME HOLD     CMN            Y62196103       81     15,665 SH       SOLE       2            15,665          0       0
NAVISTAR INTERNATION     CMN            63934E108       45        800 SH       DEFINED    1                          800       0
NAVISTAR INTERNATION     CMN            63934E108      158      2,800 SH       DEFINED    2                        2,800       0
NEKTAR THERAPEUTICS      CMN            640268108      236     32,492 SH       SOLE       2            32,492          0       0
NETAPP INC COM USD0.     CMN            64110D104    6,985    132,344 SH       SOLE       2           132,344          0       0
NETEASE.COM ADR REP      CMN            64110W102      372      8,244 SH       SOLE       2             8,244          0       0
NETGEAR INC COM USD0     CMN            64111Q104      205      4,682 SH       SOLE       2             4,682          0       0
NETSCOUT SYSTEMS INC     CMN            64115T104      524     25,068 SH       SOLE       2            25,068          0       0
NEURALSTEM INC COM S     CMN            64127R302      397    264,446 SH       SOLE       1           264,446          0       0
NEW YORK COMMUNITY B     CMN            649445103      252     16,800 SH       DEFINED    1                       16,800       0
NEW YORK COMMUNITY B     CMN            649445103       74      4,910 SH       DEFINED    2                        4,910       0
NEWFIELD EXPLORATION     CMN            651290108       12        170 SH       DEFINED    1                          170       0
NEWFIELD EXPLORATION     CMN            651290108      246      3,613 SH       DEFINED    2                        3,613       0
NEWMONT MINING CORP      CMN            651639106    6,932    128,439 SH       DEFINED    1                      128,439       0
NEWMONT MINING CORP      CMN            651639106    4,559     84,482 SH       DEFINED    2                       84,482       0
NEWMONT MINING CORP      CMN            651639106   14,542    269,453 SH       DEFINED    2                      269,453       0
NEWS CORP COM USD0.0     CMN            65248E104    3,350    189,221 SH       DEFINED    1                      189,221       0
NEWS CORP COM USD0.0     CMN            65248E203      202     11,200 SH       DEFINED    1                       11,200       0
NEWS CORP COM USD0.0     CMN            65248E104      204     11,545 SH       DEFINED    2                       11,545       0
NEWS CORP COM USD0.0     CMN            65248E203       47      2,590 SH       DEFINED    2                        2,590       0
NEXTERA ENERGY INC C     CMN            65339F101      816     14,200 SH       DEFINED    1                       14,200       0
NEXTERA ENERGY INC C     CMN            65339F101      179      3,115 SH       DEFINED    2                        3,115       0
NICOR INC COM USD2.5     CMN            654086107   13,279    242,600 SH       DEFINED    1                      242,600       0
NICOR INC COM USD2.5     CMN            654086107      138      2,529 SH       DEFINED    2                        2,529       0
NIKE INC CLASS'B'COM     CMN            654106103    1,082     12,021 SH       SOLE       2            12,021          0       0
NISOURCE INC COM NPV     CMN            65473P105      232     11,433 SH       SOLE       2            11,433          0       0
NOBLE CORP CHF3.8        CMN            H5833N103      996     25,264 SH       SOLE       2            25,264          0       0
NOBLE ENERGY INC COM     CMN            655044105       15        170 SH       DEFINED    1                          170       0
NOBLE ENERGY INC COM     CMN            655044105      602      6,717 SH       DEFINED    2                        6,717       0
NOKIA OYJ NPV            CMN            654902204    2,589    403,195 SH       SOLE       2           403,195          0       0
NORDSON CORP COM NPV     CMN            655663102      637     11,610 SH       SOLE       2            11,610          0       0
NORFOLK SOUTHERN COR     CMN            655844108      914     12,195 SH       SOLE       2            12,195          0       0
NORTHERN TRUST CORP      CMN            665859104      569     12,373 SH       SOLE       2            12,373          0       0
NORTHROP GRUMMAN COR     CMN            666807102      571      8,233 SH       SOLE       2             8,233          0       0
NOVELLUS SYSTEMS INC     CMN            670008101      493     13,632 SH       SOLE       2            13,632          0       0
NOVO NORDISK A/S DKK     CMN            670100205      255      2,038 SH       SOLE       2             2,038          0       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
NPS PHARMACEUTICALS      CMN            62936P103      175     18,551 SH       SOLE       2            18,551          0       0
NRG ENERGY INC           CMN            629377508      300     12,225 SH       SOLE       4            12,225          0       0
NRG ENERGY INC COM U     CMN            629377508    4,032    164,067 SH       DEFINED    1                      164,067       0
NRG ENERGY INC COM U     CMN            629377508       25      1,037 SH       DEFINED    2                        1,037       0
NSTAR COM USD1           CMN            67019E107    9,874    214,733 SH       DEFINED    1                      214,733       0
NSTAR COM USD1           CMN            67019E107       10        215 SH       DEFINED    2                          215       0
NUANCE COMMUNICATION     CMN            67020Y100      326     15,200 SH       DEFINED    1                       15,200       0
NUANCE COMMUNICATION     CMN            67020Y100      367     17,078 SH       DEFINED    2                       17,078       0
NUCOR CORP COM STK U     CMN            670346105    2,180     52,882 SH       DEFINED    2                       52,882       0
NUCOR CORP COM STK U     CMN            670346105      560     13,595 SH       DEFINED    2                       13,595       0
NUTRI SYSTEM INC COM     CMN            67069D108      419     29,820 SH       SOLE       2            29,820          0       0
NUVASIVE INC COM USD     CMN            670704105    2,904     88,334 SH       DEFINED    2                       88,334       0
NUVASIVE INC COM USD     CMN            670704105      252      7,652 SH       DEFINED    2                        7,652       0
NVIDIA CORP COM USD0     CMN            67066G104      260     16,300 SH       DEFINED    1                       16,300       0
NVIDIA CORP COM USD0     CMN            67066G104   13,692    859,091 SH       DEFINED    2                      859,091       0
NYSE EURONEXT COM ST     CMN            629491101    4,418    128,941 SH       SOLE       2           128,941          0       0
OCCIDENTAL PETROLEUM     CMN            674599105    4,792     46,055 SH       SOLE       2            46,055          0       0
OCLARO INC USD0.01       CMN            67555N206      262     39,004 SH       SOLE       2            39,004          0       0
OFFICE DEPOT INC COM     CMN            676220106      355     84,184 SH       SOLE       2            84,184          0       0
OFFICEMAX INC COM US     CMN            67622P101      122     15,607 SH       SOLE       2            15,607          0       0
OIL SVC HOLDERS TR D     CMN            678002106    1,092      7,184 SH       SOLE       1             7,184          0       0
OMNICOM GROUP INC CO     CMN            681919106      751     15,597 SH       SOLE       2            15,597          0       0
ON SEMICONDUCTOR COR     CMN            682189105      325     31,000 SH       DEFINED    1                       31,000       0
ON SEMICONDUCTOR COR     CMN            682189105      966     92,261 SH       DEFINED    2                       92,261       0
ONEOK INC COM USD0.0     CMN            682680103      440      5,946 SH       SOLE       2             5,946          0       0
ONYX PHARMACEUTICALS     CMN            683399109      946     26,815 SH       SOLE       2            26,815          0       0
OPTIMER PHARMACEUTIC     CMN            68401H104      679     57,103 SH       SOLE       2            57,103          0       0
OPTIONSXPRESS HLDG C     CMN            684010101    7,101    425,500 SH       SOLE       1           425,500          0       0
ORACLE CORP COM USD0     CMN            68389X105    4,120    125,196 SH       SOLE       2           125,196          0       0
O'REILLY AUTOMOTVE C     CMN            67103H107      262      4,000 SH       DEFINED    1                        4,000       0
O'REILLY AUTOMOTVE C     CMN            67103H107      357      5,446 SH       DEFINED    2                        5,446       0
ORIGIN AGRITECH LTD      CMN            G67828106       10      2,436 SH       DEFINED    1                        2,436       0
ORIGIN AGRITECH LTD      CMN            G67828106       59     14,742 SH       DEFINED    2                       14,742       0
PAMPA ENERGIA SA ARS     CMN            697660207      422     27,500 SH       SOLE       2            27,500          0       0
PAN AMERICAN SILVER      CMN            697900108    1,089     35,246 SH       SOLE       2            35,246          0       0
PARAGON SHIPPING INC     CMN            69913R309       72     35,530 SH       SOLE       2            35,530          0       0
PARAMETRIC TECHNOLOG     CMN            699173209      406     17,721 SH       SOLE       2            17,721          0       0
PAREXEL INTL CP COM      CMN            699462107      290     12,287 SH       SOLE       2            12,287          0       0
PARKER DRILLING CO C     CMN            701081101      439     75,140 SH       SOLE       2            75,140          0       0
PARKER HANNIFIN CORP     CMN            701094104       90      1,000 SH       DEFINED    1                        1,000       0
PARKER HANNIFIN CORP     CMN            701094104      483      5,377 SH       DEFINED    2                        5,377       0
PATRIOT COAL CORP CO     CMN            70336T104      464     20,833 SH       SOLE       2            20,833          0       0
PATTERSON-UTI ENERGY     CMN            703481101        9        290 SH       DEFINED    1                          290       0
PATTERSON-UTI ENERGY     CMN            703481101    2,294     72,567 SH       DEFINED    2                       72,567       0
PAYCHEX INC COM USD0     CMN            704326107    1,038     33,789 SH       SOLE       2            33,789          0       0
PDL BIOPHARMA INC CO     CMN            69329Y104      534     90,937 SH       DEFINED    1                       90,937       0
PDL BIOPHARMA INC CO     CMN            69329Y104      458     78,000 SH       DEFINED    2                       78,000       0
PDL BIOPHARMA INC CO     CMN            69329Y104      521     88,602 SH       DEFINED    2                       88,602       0
PEABODY ENERGY CORP      CMN            704549104    3,501     59,426 SH       DEFINED    1                       59,426       0
PEABODY ENERGY CORP      CMN            704549104      648     11,000 SH       DEFINED    2                       11,000       0
PEABODY ENERGY CORP      CMN            704549104    1,060     17,995 SH       DEFINED    2                       17,995       0
PENNANTPARK INVT C C     CMN            708062104      503     44,924 SH       SOLE       2            44,924          0       0
PENNICHUCK CORP COM      CMN            708254206    1,001     34,800 SH       SOLE       1            34,800          0       0
PEPSICO INC CAP USD0     CMN            713448108    1,371     19,464 SH       SOLE       2            19,464          0       0
PERFECT WORLD CO LTD     CMN            71372U104      300     16,001 SH       SOLE       2            16,001          0       0
PERRY ELLIS INTERNAT     CMN            288853104      323     12,776 SH       SOLE       2            12,776          0       0
PETMED EXPRESS INC C     CMN            716382106      185     15,590 SH       SOLE       2            15,590          0       0
PETROBRAS ARGENTINA      CMN            71646J109    1,279     66,030 SH       SOLE       2            66,030          0       0
PETROHAWK ENERGY COR     CMN            716495106   11,448    464,018 SH       DEFINED    1                      464,018       0
PETROHAWK ENERGY COR     CMN            716495106      252     10,197 SH       DEFINED    2                       10,197       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
PETROLEO BRASILEIRO      CMN            71654V408   21,232    627,066 SH       DEFINED    2                      627,066       0
PETROLEO BRASILEIRO      CMN            71654V408    8,596    253,876 SH       DEFINED    2                      253,876       0
PETSMART INC COM USD     CMN            716768106      354      7,792 SH       DEFINED    1                        7,792       0
PETSMART INC COM USD     CMN            716768106      226      4,982 SH       DEFINED    2                        4,982       0
PFIZER INC COM USD0.     CMN            717081103       62      2,990 SH       DEFINED    1                        2,990       0
PFIZER INC COM USD0.     CMN            717081103    2,476    120,218 SH       DEFINED    2                      120,218       0
Pfizer Inc.              CMN            717081103      900     43,689 SH       SOLE       3            43,689          0       0
PG&E CORP COM NPV        CMN            69331C108       38        900 SH       DEFINED    1                          900       0
PG&E CORP COM NPV        CMN            69331C108      179      4,264 SH       DEFINED    2                        4,264       0
PHARMACEUTICAL HOLDR     CMN            71712A206      255      3,600 SH       SOLE       1             3,600          0       0
PHARMACEUTICAL PRODU     CMN            717124101      142      5,300 SH       DEFINED    1                        5,300       0
PHARMACEUTICAL PRODU     CMN            717124101      881     32,834 SH       DEFINED    2                       32,834       0
PHH CORP COM NPV         CMN            693320202    4,486    218,655 SH       DEFINED    2                      218,655       0
PHH CORP COM NPV         CMN            693320202       13        637 SH       DEFINED    2                          637       0
PHILIP MORRIS INTERN     CMN            718172109       27        400 SH       DEFINED    1                          400       0
PHILIP MORRIS INTERN     CMN            718172109      674     10,100 SH       DEFINED    2                       10,100       0
PHOTRONICS INC COM U     CMN            719405102      751     88,640 SH       SOLE       2            88,640          0       0
PIEDMONT OFFICE REAL     CMN            720190206    5,024    246,400 SH       DEFINED    1                      246,400       0
PIEDMONT OFFICE REAL     CMN            720190206        5        254 SH       DEFINED    2                          254       0
PIONEER NATURAL RESO     CMN            723787107       13        140 SH       DEFINED    1                          140       0
PIONEER NATURAL RESO     CMN            723787107      336      3,747 SH       DEFINED    2                        3,747       0
PITNEY BOWES INC COM     CMN            724479100      513     22,300 SH       DEFINED    1                       22,300       0
PITNEY BOWES INC COM     CMN            724479100      127      5,537 SH       DEFINED    2                        5,537       0
PLAINS EXPLORATION &     CMN            726505100      479     12,556 SH       SOLE       2            12,556          0       0
PLUM CREEK TIMBER CO     CMN            729251108      811     20,000 SH       SOLE       5            20,000          0       0
PMC - SIERRA INC COM     CMN            69344F106      258     34,177 SH       SOLE       2            34,177          0       0
PNC FINANCIAL SERVIC     CMN            693475105      367      6,151 SH       DEFINED    1                        6,151       0
PNC FINANCIAL SERVIC     CMN            693475105      736     12,341 SH       DEFINED    2                       12,341       0
PNC FINANCIAL SERVIC     CMN            693475105      710     11,916 SH       DEFINED    2                       11,916       0
PNM RESOURCES INC CO     CMN            69349H107      181     10,809 SH       SOLE       2            10,809          0       0
POLARIS INDUSTRIES I     CMN            731068102      261      2,346 SH       SOLE       2             2,346          0       0
POLYCOM INC COM USD0     CMN            73172K104    1,536     23,888 SH       DEFINED    1                       23,888       0
POLYCOM INC COM USD0     CMN            73172K104       37        581 SH       DEFINED    2                          581       0
POLYONE CORP COM USD     CMN            73179P106      155     10,044 SH       SOLE       2            10,044          0       0
POLYPORE INTERNATION     CMN            73179V103      871     12,834 SH       SOLE       2            12,834          0       0
POPULAR INC COM USD6     CMN            733174106      669    241,981 SH       SOLE       2           241,981          0       0
POTASH CORP OF SASKA     CMN            73755L107      101      1,777 SH       DEFINED    2                        1,777       0
POTASH CORP OF SASKA     CMN            73755L107    5,371     94,260 SH       DEFINED    2                       94,260       0
POWER-ONE, INC COM U     CMN            73930R102       83     10,248 SH       SOLE       2            10,248          0       0
POWERSHARES DB COMMO     CMN            73935S105      492     17,000 SH       SOLE       1            17,000          0       0
POWERWAVE TECHNOLOGI     CMN            739363109      272     92,124 SH       SOLE       2            92,124          0       0
PPG INDUSTRIES INC C     CMN            693506107      323      3,559 SH       SOLE       2             3,559          0       0
PRAXAIR INC COM USD0     CMN            74005P104      325      3,002 SH       SOLE       2             3,002          0       0
PRE PAID LEGAL SVS C     CMN            740065107    1,741     26,192 SH       SOLE       1            26,192          0       0
PRICE (T. ROWE) COM      CMN            74144T108      612     10,138 SH       SOLE       2            10,138          0       0
PRICELINE.COM INC CO     CMN            741503403    3,374      6,590 SH       DEFINED    1                        6,590       0
PRICELINE.COM INC CO     CMN            741503403    2,560      5,000 SH       DEFINED    2                        5,000       0
PRICELINE.COM INC CO     CMN            741503403    7,921     15,473 SH       DEFINED    2                       15,473       0
PRIMEDIA INC COM STK     CMN            74157K846      669     94,950 SH       SOLE       1            94,950          0       0
PRIVATEBANCORP INC C     CMN            742962103      512     37,085 SH       SOLE       2            37,085          0       0
PROCTER & GAMBLE CO      CMN            742718109      515      8,106 SH       DEFINED    2                        8,106       0
PROCTER & GAMBLE CO      CMN            742718109    4,891     76,952 SH       DEFINED    2                       76,952       0
PROGRESS SOFTWARE CO     CMN            743312100      384     15,910 SH       SOLE       2            15,910          0       0
PROGRESSIVE CORP/THE     CMN            743315103      354     16,573 SH       SOLE       2            16,573          0       0
PROLOGIS INC COM USD     CMN            74340W103      393     10,955 SH       DEFINED    2                       10,955       0
PROSHARES ULTRA S&P5     CMN            74347R107      449      8,497 SH       SOLE       2             8,497          0       0
PROSHARES ULTRASHORT     CMN            74347X401      756     50,000 SH       SOLE       2            50,000          0       0
PROSHARES ULTRASHORT     CMN            74347X237      347      6,886 SH       SOLE       2             6,886          0       0
PROSPECT CAPITAL COR     CMN            74348T102      736     72,832 SH       SOLE       2            72,832          0       0
PRUDENTIAL FINANCIAL     CMN            744320102      482      7,573 SH       SOLE       2             7,573          0       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
PUBLIC SERVICE ENTER     CMN            744573106       20        600 SH       DEFINED    1                          600       0
PUBLIC SERVICE ENTER     CMN            744573106    1,348     41,309 SH       DEFINED    2                       41,309       0
PULTE GROUP INC COM      CMN            745867101    2,259    295,000 SH       DEFINED    1                      295,000       0
PULTE GROUP INC COM      CMN            745867101      650     84,884 SH       DEFINED    2                       84,884       0
QUALCOMM INC COM USD     CMN            747525103    1,911     33,648 SH       SOLE       2            33,648          0       0
QUALITY DISTR INC FL     CMN            74756M102      798     61,316 SH       SOLE       4            53,861          0   7,455
RADIAN GROUP INC COM     CMN            750236101      130     30,707 SH       SOLE       2            30,707          0       0
RADIOSHACK CORP COM      CMN            750438103      965     72,486 SH       SOLE       2            72,486          0       0
RADWARE LTD COM ILS0     CMN            M81873107    1,009     28,969 SH       SOLE       2            28,969          0       0
RAIT INVESTMENT COM      CMN            749227104      130     62,200 SH       SOLE       2            62,200          0       0
RALCORP HOLDINGS INC     CMN            751028101    6,493     75,000 SH       DEFINED    1                       75,000       0
RALCORP HOLDINGS INC     CMN            751028101      330      3,814 SH       DEFINED    2                        3,814       0
RAYONIER INC             CMN            754907103      899     13,750 SH       SOLE       5            13,750          0       0
RAYTHEON CO COM USD0     CMN            755111507      536     10,763 SH       SOLE       2            10,763          0       0
REGENERON PHARMACEUT     CMN            75886F107      655     11,550 SH       SOLE       2            11,550          0       0
REGIONS FINANCIAL CO     CMN            7591EP100      345     55,556 SH       DEFINED    1                       55,556       0
REGIONS FINANCIAL CO     CMN            7591EP100      164     26,384 SH       DEFINED    2                       26,384       0
REGIS CORP COM USD0.     CMN            758932107    1,004     65,554 SH       DEFINED    1                       65,554       0
REGIS CORP COM USD0.     CMN            758932107       17      1,119 SH       DEFINED    2                        1,119       0
RENESOLA LTD ORD SHS     CMN            75971T103      841    161,054 SH       DEFINED    2                      161,054       0
RESEARCH IN MOTION L     CMN            760975102    2,260     78,357 SH       DEFINED    2                       78,357       0
RESEARCH IN MOTION L     CMN            760975102    3,850    133,461 SH       DEFINED    2                      133,461       0
RESMED INC COM USD0.     CMN            761152107      396     12,793 SH       SOLE       2            12,793          0       0
RETAIL HOLDERS TRU D     CMN            76127U101        5         50 SH       DEFINED    1                           50       0
RETAIL HOLDERS TRU D     CMN            76127U101      196      1,800 SH       DEFINED    2                        1,800       0
REX ENERGY CORP COM      CMN            761565100      109     10,661 SH       SOLE       2            10,661          0       0
RIGHTNOW TECHNOLOGIE     CMN            76657R106      794     24,500 SH       DEFINED    1                       24,500       0
RIGHTNOW TECHNOLOGIE     CMN            76657R106      239      7,369 SH       DEFINED    2                        7,369       0
RIO TINTO PLC ORD GB     CMN            767204100      559      7,737 SH       SOLE       2             7,737          0       0
RITE AID CORP COM US     CMN            767754104       38     28,450 SH       SOLE       2            28,450          0       0
ROCK-TENN CO             CMN            772739207      165      2,486 SH       SOLE       4             2,176          0     310
ROCK-TENN CO CLASS'A     CMN            772739207    1,350     20,347 SH       DEFINED    1                       20,347       0
ROCK-TENN CO CLASS'A     CMN            772739207       44        662 SH       DEFINED    2                          662       0
ROCKWOOD HLDGS INC C     CMN            774415103      300      5,421 SH       SOLE       2             5,421          0       0
ROPER INDUSTRIES INC     CMN            776696106      228      2,732 SH       SOLE       2             2,732          0       0
ROSS STORES INC COM      CMN            778296103      358      4,473 SH       DEFINED    1                        4,473       0
ROSS STORES INC COM      CMN            778296103       48        598 SH       DEFINED    2                          598       0
ROVI CORP COM USD0.0     CMN            779376102      946     16,500 SH       DEFINED    1                       16,500       0
ROVI CORP COM USD0.0     CMN            779376102      459      8,000 SH       DEFINED    2                        8,000       0
ROVI CORP COM USD0.0     CMN            779376102        9        161 SH       DEFINED    2                          161       0
ROWAN COS INC COM US     CMN            779382100        9        220 SH       DEFINED    1                          220       0
ROWAN COS INC COM US     CMN            779382100      675     17,381 SH       DEFINED    2                       17,381       0
ROYAL CARIBBEAN CRUI     CMN            V7780T103      615     16,351 SH       SOLE       2            16,351          0       0
RUBICON TECHNOLOGY I     CMN            78112T107      415     24,596 SH       SOLE       2            24,596          0       0
RUE21 INC COM NPV        CMN            781295100      363     11,179 SH       DEFINED    1                       11,179       0
RUE21 INC COM NPV        CMN            781295100      148      4,552 SH       DEFINED    2                        4,552       0
RURAL/METRO CORP COM     CMN            781748108      345     20,000 SH       SOLE       2            20,000          0       0
RYDEX MSCI ALL COUNT     CMN            78355W528    4,141    100,500 SH       SOLE       1           100,500          0       0
RYDEX MSCI EAFE EQUA     CMN            78355W544    2,676     63,100 SH       SOLE       1            63,100          0       0
RYDEX MSCI EMERGING      CMN            78355W536    2,604     63,650 SH       SOLE       1            63,650          0       0
SAFE BULKERS INC COM     CMN            Y7388L103       92     12,032 SH       SOLE       2            12,032          0       0
SAFEWAY INC COM USD0     CMN            786514208      257     11,000 SH       DEFINED    1                       11,000       0
SAFEWAY INC COM USD0     CMN            786514208       21        890 SH       DEFINED    2                          890       0
SAKS INC COM USD0.10     CMN            79377W108      695     62,208 SH       DEFINED    2                       62,208       0
SAKS INC COM USD0.10     CMN            79377W108      153     13,700 SH       DEFINED    2                       13,700       0
SALESFORCE.COM INC C     CMN            79466L302   12,685     85,144 SH       DEFINED    2                       85,144       0
SALESFORCE.COM INC C     CMN            79466L302       86        575 SH       DEFINED    2                          575       0
SALIX                    CMN            795435106    1,385     34,782 SH       SOLE       1            34,782          0       0
SALLY BEAUTY HOLDING     CMN            79546E104    1,508     88,235 SH       DEFINED    1                       88,235       0
SALLY BEAUTY HOLDING     CMN            79546E104        9        524 SH       DEFINED    2                          524       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
SANDISK CORP COM USD     CMN            80004C101    1,847     44,500 SH       DEFINED    1                       44,500       0
SANDISK CORP COM USD     CMN            80004C101   10,142    244,392 SH       DEFINED    2                      244,392       0
SANDISK CORP COM USD     CMN            80004C101    8,400    202,414 SH       DEFINED    2                      202,414       0
SANDRIDGE ENERGY INC     CMN            80007P307       27      2,500 SH       DEFINED    1                        2,500       0
SANDRIDGE ENERGY INC     CMN            80007P307      138     12,921 SH       DEFINED    2                       12,921       0
SANMINA-SCI CORP COM     CMN            800907206      626     60,607 SH       SOLE       2            60,607          0       0
SAPIENT CORP COM USD     CMN            803062108      646     42,958 SH       SOLE       2            42,958          0       0
SAVVIS INC COM STK U     CMN            805423308   16,189    409,530 SH       SOLE       2           409,530          0       0
SBA COMMUNICATIONS C     CMN            78388J106    2,364     61,900 SH       DEFINED    1                       61,900       0
SBA COMMUNICATIONS C     CMN            78388J106      337      8,820 SH       DEFINED    2                        8,820       0
SCHLUMBERGER LTD COM     CMN            806857108       10        120 SH       DEFINED    1                          120       0
SCHLUMBERGER LTD COM     CMN            806857108      181      2,092 SH       DEFINED    2                        2,092       0
SCHLUMBERGER LTD COM     CMN            806857108    4,585     53,060 SH       DEFINED    2                       53,060       0
SCHNITZER STEEL 'A'      CMN            806882106      539      9,351 SH       SOLE       2             9,351          0       0
SCRIPPS NETWORKS INT     CMN            811065101      229      4,685 SH       SOLE       2             4,685          0       0
SEAGATE TECHNOLOGY C     CMN            G7945M107      819     50,666 SH       SOLE       2            50,666          0       0
SECTOR SPDR TRUST AM     CMN            81369Y803      260     10,100 SH       SOLE       1            10,100          0       0
SEI INVESTMENTS CO C     CMN            784117103    1,406     62,437 SH       SOLE       2            62,437          0       0
SELECT COMFORT CORP      CMN            81616X103      528     29,375 SH       DEFINED    1                       29,375       0
SELECT COMFORT CORP      CMN            81616X103       15        847 SH       DEFINED    2                          847       0
SELECT SECTOR SPDR A     CMN            81369Y886   35,822  1,069,818 SH       DEFINED    1                    1,069,818       0
SELECT SECTOR SPDR A     CMN            81369Y886      296      8,843 SH       DEFINED    2                        8,843       0
SELECT SECTOR SPDR E     CMN            81369Y506      294      3,900 SH       DEFINED    1                        3,900       0
SELECT SECTOR SPDR E     CMN            81369Y506      188      2,500 SH       DEFINED    2                        2,500       0
SELECT SECTOR SPDR E     CMN            81369Y506       19        255 SH       DEFINED    2                          255       0
SELECT SECTOR SPDR H     CMN            81369Y209      306      8,607 SH       SOLE       2             8,607          0       0
SEMILEDS CORP/TW COM     CMN            816645105      252     39,100 SH       SOLE       2            39,100          0       0
SEMTECH CORP COM STK     CMN            816850101      251      9,194 SH       SOLE       2             9,194          0       0
SEQUENOM INC COM STK     CMN            817337405      229     30,377 SH       SOLE       2            30,377          0       0
Shanda Games Limited     CMN            81941U105    7,000  1,073,620 SH       SOLE       3         1,073,620          0       0
SHANDA GAMES LTD 'A'     CMN            81941U105      614     94,218 SH       DEFINED    2                       94,218       0
SHAW GROUP INC/THE C     CMN            820280105      217      7,200 SH       SOLE       2             7,200          0       0
SHERWIN-WILLIAMS CO/     CMN            824348106      256      3,049 SH       SOLE       2             3,049          0       0
SHIRE PLC ORD GBP0.0     CMN            82481R106      428      4,548 SH       SOLE       2             4,548          0       0
SHUFFLE MASTER INC C     CMN            825549108      141     15,034 SH       DEFINED    2                       15,034       0
SIEMENS AG NPV(REGD)     CMN            826197501      461      3,350 SH       SOLE       2             3,350          0       0
SIGNET JEWELERS LTD      CMN            G81276100    5,559    118,754 SH       DEFINED    1                      118,754       0
SIGNET JEWELERS LTD      CMN            G81276100       42        887 SH       DEFINED    2                          887       0
SILICON IMAGE INC CO     CMN            82705T102      208     32,168 SH       SOLE       2            32,168          0       0
SILICONWARE PRECISIO     CMN            827084864      810    130,205 SH       SOLE       2           130,205          0       0
SILVER WHEATON CORP      CMN            828336107    1,949     59,048 SH       SOLE       2            59,048          0       0
SILVERCORP METALS IN     CMN            82835P103      444     47,324 SH       SOLE       2            47,324          0       0
SIMON PROPERTY GROUP     CMN            828806109      554      4,764 SH       SOLE       2             4,764          0       0
SINA CORP/CHINA ORD      CMN            G81477104      388      3,723 SH       SOLE       2             3,723          0       0
SIRIUS XM RADIO INC      CMN            82967N108       43     19,702 SH       DEFINED    1                       19,702       0
SIRIUS XM RADIO INC      CMN            82967N108   12,380  5,659,500 SH       DEFINED    2                    5,659,500       0
SIRIUS XM RADIO INC      CMN            82967N108      734    335,339 SH       DEFINED    2                      335,339       0
SIRONA DENTAL SYSTEM     CMN            82966C103      954     17,963 SH       SOLE       2            17,963          0       0
SIX FLAGS ENTMT CORP     CMN            83001A102    4,845    129,369 SH       SOLE       4            98,937          0  30,432
SM ENERGY CO COM USD     CMN            78454L100       10        130 SH       DEFINED    1                          130       0
SM ENERGY CO COM USD     CMN            78454L100      235      3,200 SH       DEFINED    2                        3,200       0
SMART MODULAR COM ST     CMN            G82245104    1,001    109,300 SH       DEFINED    1                      109,300       0
SMART MODULAR COM ST     CMN            G82245104    1,978    216,054 SH       DEFINED    2                      216,054       0
SOHU.COM INC COM USD     CMN            83408W103    2,210     30,584 SH       SOLE       2            30,584          0       0
SONIC CORP COM USD0.     CMN            835451105      885     83,316 SH       SOLE       2            83,316          0       0
SONY CORP NPV            CMN            835699307      228      8,654 SH       SOLE       2             8,654          0       0
SOTHEBY'S COM STK US     CMN            835898107    1,022     23,500 SH       DEFINED    1                       23,500       0
SOTHEBY'S COM STK US     CMN            835898107      254      5,836 SH       DEFINED    2                        5,836       0
SOUTHERN CO COM USD5     CMN            842587107      575     14,252 SH       DEFINED    2                       14,252       0
SOUTHERN CO COM USD5     CMN            842587107      108      2,684 SH       DEFINED    2                        2,684       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
SOUTHERN UNION CO CO     CMN            844030106       11        270 SH       DEFINED    1                          270       0
SOUTHERN UNION CO CO     CMN            844030106    5,256    130,900 SH       DEFINED    2                      130,900       0
SOUTHWEST AIRLINES C     CMN            844741108      231     20,195 SH       SOLE       2            20,195          0       0
SOUTHWESTERN ENERGY      CMN            845467109       13        300 SH       DEFINED    1                          300       0
SOUTHWESTERN ENERGY      CMN            845467109      385      8,990 SH       DEFINED    2                        8,990       0
SPDR GOLD SHARES GOL     CMN            78463V107   56,917    389,841 SH       SOLE       2           389,841          0       0
SPDR KBW BANK ETF KB     CMN            78464A797    6,445    268,700 SH       DEFINED    1                      268,700       0
SPDR KBW BANK ETF KB     CMN            78464A797    3,161    131,800 SH       DEFINED    2                      131,800       0
SPDR S&P 500 ETF         CMN            78462F103      113        856 SH       SOLE       3               856          0       0
SPDR S&P 500 ETF TRU     CMN            78462F103   17,263    130,810 SH       DEFINED    2                      130,810       0
SPDR S&P 500 ETF TRU     CMN            78462F103   18,422    139,595 SH       DEFINED    2                      139,595       0
SPDR S&P INTERNATION     CMN            78463X681    3,338    100,000 SH       SOLE       1           100,000          0       0
SPECTRA ENERGY CORP      CMN            847560109        4        160 SH       DEFINED    1                          160       0
SPECTRA ENERGY CORP      CMN            847560109      213      7,774 SH       DEFINED    2                        7,774       0
SPECTRUM BRANDS HOLD     CMN            84763R101      994     31,064 SH       SOLE       1            31,064          0       0
SPRINT NEXTEL CORP C     CMN            852061100    1,157    214,607 SH       SOLE       2           214,607          0       0
SPROTT PHYSICAL GOLD     CMN            85207H104      156     11,958 SH       SOLE       2            11,958          0       0
SRA INTERNATIONAL IN     CMN            78464R105    1,858     60,100 SH       DEFINED    1                       60,100       0
SRA INTERNATIONAL IN     CMN            78464R105   18,765    606,859 SH       DEFINED    2                      606,859       0
ST JUDE MEDICAL INC      CMN            790849103       31        660 SH       DEFINED    1                          660       0
ST JUDE MEDICAL INC      CMN            790849103      485     10,160 SH       DEFINED    2                       10,160       0
STAR SCIENTIFIC INC      CMN            85517P101      166     36,898 SH       SOLE       2            36,898          0       0
STARWOOD HOTELS & RE     CMN            85590A401      316      5,633 SH       SOLE       2             5,633          0       0
STATE STREET CORP CO     CMN            857477103      368      8,163 SH       SOLE       2             8,163          0       0
STEEL DYNAMICS INC       CMN            858119100    1,909    117,500 SH       DEFINED    1                      117,500       0
STEEL DYNAMICS INC C     CMN            858119100       15        949 SH       DEFINED    2                          949       0
STERLING BANCSHARES      CMN            858907108    9,049  1,109,400 SH       DEFINED    1                    1,109,400       0
STERLING BANCSHARES      CMN            858907108       67      8,162 SH       DEFINED    2                        8,162       0
STILLWATER MNG COM U     CMN            86074Q102       22      1,000 SH       DEFINED    1                        1,000       0
STILLWATER MNG COM U     CMN            86074Q102      442     20,075 SH       DEFINED    2                       20,075       0
STRAYER EDUCATION IN     CMN            863236105      238      1,887 SH       SOLE       2             1,887          0       0
STREETTRACKS DIVIDEN     CMN            78464A763      211      3,900 SH       SOLE       1             3,900          0       0
STREETTRACKS SPDR O&     CMN            78464A730   14,695    250,000 SH       SOLE       1           250,000          0       0
STRYKER CORP COM USD     CMN            863667101        9        160 SH       DEFINED    1                          160       0
STRYKER CORP COM USD     CMN            863667101      242      4,130 SH       DEFINED    2                        4,130       0
SUCCESSFACTORS INC U     CMN            864596101    1,610     54,744 SH       SOLE       2            54,744          0       0
SULPHCO INC COM USD0     CMN            865378103        2     67,200 SH       SOLE       2            67,200          0       0
SUNCOR ENERGY INC CO     CMN            867224107      886     22,656 SH       SOLE       2            22,656          0       0
SUNPOWER CORP COM US     CMN            867652109        2        117 SH       DEFINED    1                          117       0
SunPower Corporation     CMN            867652109   20,000  1,034,661 SH       SOLE       3         1,034,661          0       0
SUNTECH POWER HLDG S     CMN            86800C104      526     66,834 SH       SOLE       2            66,834          0       0
SUNTRUST BANKS, INC      CMN            867914103      506     19,601 SH       SOLE       2            19,601          0       0
SUPERVALU INC COM US     CMN            868536103      256     27,170 SH       SOLE       2            27,170          0       0
SUSQUEHANNA BANCSHAR     CMN            869099101    1,185    148,100 SH       DEFINED    1                      148,100       0
SUSQUEHANNA BANCSHAR     CMN            869099101       17      2,118 SH       DEFINED    2                        2,118       0
SWIFT ENERGY CO COM      CMN            870738101      283      7,600 SH       SOLE       2             7,600          0       0
SYCAMORE NETWORKS IN     CMN            871206405      856     38,513 SH       SOLE       1            38,513          0       0
SYMANTEC CORP COM US     CMN            871503108       77      3,896 SH       DEFINED    2                        3,896       0
Symantec Corporation     CMN            871503108   10,897    552,586 SH       SOLE       3           552,586          0       0
SYNAPTICS INC COM US     CMN            87157D109      817     31,757 SH       SOLE       2            31,757          0       0
SYNOPSYS INC COM USD     CMN            871607107      524     20,369 SH       SOLE       2            20,369          0       0
SYNTROLEUM CORPORATI     CMN            871630109       19     13,100 SH       SOLE       1            13,100          0       0
TAIWAN SEMICONDUCTOR     CMN            874039100   72,412  5,742,695 SH       SOLE       2         5,742,695          0       0
TAKE-TWO INTERACTIVE     CMN            874054109       45      2,938 SH       DEFINED    1                        2,938       0
TAKE-TWO INTERACTIVE     CMN            874054109    6,971    456,177 SH       DEFINED    2                      456,177       0
TAKE-TWO INTERACTIVE     CMN            874054109      179     11,698 SH       DEFINED    2                       11,698       0
TALISMAN ENERGY INC      CMN            87425E103      206     10,050 SH       SOLE       2            10,050          0       0
TARGET CORP COM STK      CMN            87612E106       23        500 SH       DEFINED    1                          500       0
TARGET CORP COM STK      CMN            87612E106    2,868     61,138 SH       DEFINED    2                       61,138       0
TARGET CORP COM STK      CMN            87612E106      241      5,140 SH       DEFINED    2                        5,140       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
TATA MOTORS LTD INR1     CMN            876568502      767     34,070 SH       DEFINED    2                       34,070       0
TATA MOTORS LTD INR1     CMN            876568502      364     16,168 SH       DEFINED    2                       16,168       0
TELECOM CORP OF NEW      CMN            879278208      116     11,500 SH       SOLE       2            11,500          0       0
TELECOMMNS SYSTEMS C     CMN            87929J103      241     50,000 SH       SOLE       2            50,000          0       0
TELEFLEX INC COM USD     CMN            879369106    3,578     58,591 SH       SOLE       1            58,591          0       0
TEMPLE-INLAND INC CO     CMN            879868107      503     16,900 SH       DEFINED    1                       16,900       0
TEMPLE-INLAND INC CO     CMN            879868107       12        400 SH       DEFINED    2                          400       0
TEMPUR-PEDIC INTERNA     CMN            88023U101      244      3,602 SH       SOLE       2             3,602          0       0
TENARIS S.A. USD1        CMN            88031M109      514     11,230 SH       SOLE       2            11,230          0       0
TENET HEALTHCARE COR     CMN            88033G100   12,715  2,039,565 SH       DEFINED    1                    2,039,565       0
TENET HEALTHCARE COR     CMN            88033G100      443     71,110 SH       DEFINED    2                       71,110       0
TERADATA CORP COM ST     CMN            88076W103    1,559     25,893 SH       DEFINED    1                       25,893       0
TERADATA CORP COM ST     CMN            88076W103      139      2,306 SH       DEFINED    2                        2,306       0
TERADYNE INC COM USD     CMN            880770102   10,596    716,080 SH       DEFINED    2                      716,080       0
TERADYNE INC COM USD     CMN            880770102      274     18,491 SH       DEFINED    2                       18,491       0
TEREX CORP COM USD0.     CMN            880779103      186      6,550 SH       DEFINED    1                        6,550       0
TEREX CORP COM USD0.     CMN            880779103      437     15,352 SH       DEFINED    2                       15,352       0
TERNIUM SA COM NPV       CMN            880890108      793     26,860 SH       SOLE       2            26,860          0       0
TESORO CORP COM USD0     CMN            881609101        6        280 SH       DEFINED    1                          280       0
TESORO CORP COM USD0     CMN            881609101    1,076     46,968 SH       DEFINED    2                       46,968       0
TEXAS INSTRUMENTS IN     CMN            882508104      205      6,241 SH       SOLE       2             6,241          0       0
TEXTRON INC COM STK      CMN            883203101      249     10,538 SH       DEFINED    1                       10,538       0
TEXTRON INC COM STK      CMN            883203101   11,463    485,521 SH       DEFINED    2                      485,521       0
TEXTRON INC COM STK      CMN            883203101       67      2,853 SH       DEFINED    2                        2,853       0
TGC INDUSTRIES INC C     CMN            872417308      803    125,699 SH       SOLE       1           125,699          0       0
THE CHARLES SCHWAB C     CMN            808513105      247     15,002 SH       SOLE       2            15,002          0       0
THE GOLDMAN SACHS GR     CMN            38141G104      343      2,574 SH       DEFINED    1                        2,574       0
THE GOLDMAN SACHS GR     CMN            38141G104    8,643     64,936 SH       DEFINED    2                       64,936       0
THE GOLDMAN SACHS GR     CMN            38141G104    4,022     30,223 SH       DEFINED    2                       30,223       0
THORATEC CORP COM NP     CMN            885175307      918     27,989 SH       SOLE       2            27,989          0       0
THQ INC COM USD0.01      CMN            872443403        8      2,100 SH       DEFINED    1                        2,100       0
THQ INC COM USD0.01      CMN            872443403       45     12,412 SH       DEFINED    2                       12,412       0
TICC CAPITAL CORP CO     CMN            87244T109      143     14,856 SH       SOLE       2            14,856          0       0
TIFFANY & CO COM USD     CMN            886547108       41        526 SH       DEFINED    2                          526       0
TIFFANY & CO COM USD     CMN            886547108    1,250     15,920 SH       DEFINED    2                       15,920       0
TIME WARNER CABLE IN     CMN            88732J207      360      4,610 SH       DEFINED    1                        4,610       0
TIME WARNER CABLE IN     CMN            88732J207      889     11,394 SH       DEFINED    2                       11,394       0
TIME WARNER INC USD0     CMN            887317303      217      5,975 SH       SOLE       2             5,975          0       0
TJX COS INC COM USD1     CMN            872540109      765     14,570 SH       SOLE       2            14,570          0       0
TOTAL SA EUR2.5          CMN            89151E109    4,431     76,607 SH       SOLE       2            76,607          0       0
TOYOTA MOTOR CORP NP     CMN            892331307    1,353     16,412 SH       SOLE       2            16,412          0       0
TRACTOR SUPPLY CO CO     CMN            892356106      306      4,577 SH       SOLE       2             4,577          0       0
TRANSDIGM GROUP INC      CMN            893641100      266      2,918 SH       SOLE       2             2,918          0       0
TRANSGLOBE ENERGY CO     CMN            893662106      117     10,275 SH       SOLE       2            10,275          0       0
TRANSOCEAN LTD CHF15     CMN            H8817H100    2,570     39,810 SH       DEFINED    2                       39,810       0
TRANSOCEAN LTD CHF15     CMN            H8817H100    4,187     64,846 SH       DEFINED    2                       64,846       0
TRAVELERS COS INC/TH     CMN            89417E109      508      8,700 SH       DEFINED    1                        8,700       0
TRAVELERS COS INC/TH     CMN            89417E109      218      3,735 SH       DEFINED    2                        3,735       0
TRIMBLE NAVIGATION L     CMN            896239100    1,708     43,095 SH       SOLE       2            43,095          0       0
TRINA SOLAR LIMITE A     CMN            89628E104      754     33,611 SH       SOLE       2            33,611          0       0
TRINITY INDUSTRIES I     CMN            896522109    1,083     31,055 SH       DEFINED    1                       31,055       0
TRINITY INDUSTRIES I     CMN            896522109       19        535 SH       DEFINED    2                          535       0
TRIQUINT SEMICONDUCT     CMN            89674K103    2,811    275,878 SH       SOLE       2           275,878          0       0
TTM TECHNOLOGIES INC     CMN            87305R109      842     52,593 SH       DEFINED    1                       52,593       0
TTM TECHNOLOGIES INC     CMN            87305R109       24      1,493 SH       DEFINED    2                        1,493       0
TUPPERWARE BRANDS CO     CMN            899896104      380      5,639 SH       SOLE       2             5,639          0       0
TW TELECOM INC CLASS     CMN            87311L104    2,818    137,266 SH       DEFINED    1                      137,266       0
TW TELECOM INC CLASS     CMN            87311L104      149      7,249 SH       DEFINED    2                        7,249       0
TYCO INTERNATIONAL L     CMN            H89128104    5,470    110,645 SH       SOLE       2           110,645          0       0
ULTRASHORT LEHMAN 7-     CMN            74347R313      389     10,000 SH       SOLE       2            10,000          0       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
UNION PACIFIC CORP C     CMN            907818108    1,178     11,287 SH       SOLE       2            11,287          0       0
UNITED CONTINENTAL H     CMN            910047109      269     11,900 SH       DEFINED    1                       11,900       0
UNITED CONTINENTAL H     CMN            910047109      238     10,532 SH       DEFINED    2                       10,532       0
UNITED MICROELECTRON     CMN            910873405   28,209 11,008,500 SH       SOLE       2        11,008,500          0       0
UNITED PARCEL SERVIC     CMN            911312106      682      9,344 SH       SOLE       2             9,344          0       0
UNITED STATES NATURA     CMN            912318110    1,928    175,000 SH       DEFINED    1                      175,000       0
UNITED STATES NATURA     CMN            912318110    3,613    327,952 SH       DEFINED    2                      327,952       0
UNITED STATES STEEL      CMN            912909108       28        600 SH       DEFINED    1                          600       0
UNITED STATES STEEL      CMN            912909108    2,039     44,273 SH       DEFINED    2                       44,273       0
UNITED TECHNOLOGIES      CMN            913017109      362      4,091 SH       DEFINED    1                        4,091       0
UNITED TECHNOLOGIES      CMN            913017109    2,103     23,761 SH       DEFINED    2                       23,761       0
UNITED THERAPEUTICS      CMN            91307C102      256      4,653 SH       DEFINED    1                        4,653       0
UNITED THERAPEUTICS      CMN            91307C102    3,006     54,558 SH       DEFINED    2                       54,558       0
UNITEDHEALTH GROUP I     CMN            91324P102       24        470 SH       DEFINED    1                          470       0
UNITEDHEALTH GROUP I     CMN            91324P102      343      6,651 SH       DEFINED    2                        6,651       0
UNUM GROUP COM USD0.     CMN            91529Y106      221      8,689 SH       SOLE       2             8,689          0       0
URBAN OUTFITTERS INC     CMN            917047102      520     18,454 SH       SOLE       2            18,454          0       0
US AIRWAYS GROUP INC     CMN            90341W108      322     36,104 SH       SOLE       2            36,104          0       0
US BANCORP INC COM U     CMN            902973304      361     14,159 SH       DEFINED    1                       14,159       0
US BANCORP INC COM U     CMN            902973304      454     17,811 SH       DEFINED    2                       17,811       0
US GOLD CORP COM USD     CMN            912023207       12      2,000 SH       DEFINED    1                        2,000       0
US GOLD CORP COM USD     CMN            912023207      100     16,571 SH       DEFINED    2                       16,571       0
USEC INC COM USD0.10     CMN            90333E108      124     36,979 SH       SOLE       2            36,979          0       0
U-STORE-IT TRUST COM     CMN            91274F104      139     13,215 SH       SOLE       2            13,215          0       0
UTD RENTALS INC COM      CMN            911363109    1,898     74,700 SH       DEFINED    1                       74,700       0
UTD RENTALS INC COM      CMN            911363109      106      4,183 SH       DEFINED    2                        4,183       0
UTD STS OIL FD LP UN     CMN            91232N108      591     15,873 SH       SOLE       2            15,873          0       0
UTI WORLDWIDE INC CO     CMN            G87210103      200     10,136 SH       SOLE       2            10,136          0       0
VALE SA COM NPV          CMN            91912E105   22,752    712,052 SH       DEFINED    2                      712,052       0
VALE SA COM NPV          CMN            91912E105    3,044     95,272 SH       DEFINED    2                       95,272       0
VALEANT PHARMACEUTIC     CMN            91911K102      250      4,819 SH       SOLE       2             4,819          0       0
VALERO ENERGY CORP C     CMN            91913Y100    5,874    229,771 SH       DEFINED    1                      229,771       0
VALERO ENERGY CORP C     CMN            91913Y100    1,630     63,747 SH       DEFINED    2                       63,747       0
VALUECLICK INC COM S     CMN            92046N102      445     26,789 SH       SOLE       2            26,789          0       0
VANGUARD MSCI EMERGI     CMN            922042858      331      6,800 SH       SOLE       1             6,800          0       0
VARIAN SEMICONDUCT C     CMN            922207105   22,363    364,000 SH       SOLE       2           364,000          0       0
VCA ANTECH INC COM U     CMN            918194101      248     11,700 SH       DEFINED    1                       11,700       0
VCA ANTECH INC COM U     CMN            918194101      612     28,877 SH       DEFINED    2                       28,877       0
VEECO INSTRUMENTS IN     CMN            922417100    2,209     45,629 SH       SOLE       2            45,629          0       0
VENTAS INC COM USD0.     CMN            92276F100      240      4,551 SH       SOLE       2             4,551          0       0
VERA BRADLEY INC COM     CMN            92335C106      735     19,244 SH       SOLE       2            19,244          0       0
VERIFONE SYSTEMS INC     CMN            92342Y109      570     12,850 SH       DEFINED    1                       12,850       0
VERIFONE SYSTEMS INC     CMN            92342Y109      210      4,729 SH       DEFINED    2                        4,729       0
VERIGY LTD COM NPV       CMN            Y93691106   16,316  1,090,000 SH       SOLE       2         1,090,000          0       0
VERISIGN INC COM USD     CMN            92343E102    2,229     66,633 SH       SOLE       2            66,633          0       0
VERISK ANALYTICS INC     CMN            92345Y106      735     21,235 SH       SOLE       2            21,235          0       0
VERIZON COMMUNICATIO     CMN            92343V104    6,780    182,102 SH       DEFINED    1                      182,102       0
VERIZON COMMUNICATIO     CMN            92343V104       35        943 SH       DEFINED    2                          943       0
VERIZON COMMUNICATIO     CMN            92343V104    1,146     30,789 SH       DEFINED    2                       30,789       0
VERTEX PHARMACEUTICA     CMN            92532F100    4,294     82,609 SH       DEFINED    1                       82,609       0
VERTEX PHARMACEUTICA     CMN            92532F100      121      2,322 SH       DEFINED    2                        2,322       0
VF CORP COM NPV          CMN            918204108      746      6,876 SH       SOLE       2             6,876          0       0
VIACOM INC NEW CL'B'     CMN            92553P201    4,716     92,477 SH       DEFINED    1                       92,477       0
VIACOM INC NEW CL'B'     CMN            92553P201       25        489 SH       DEFINED    2                          489       0
VIRGIN MEDIA INC COM     CMN            92769L101       69      2,300 SH       DEFINED    1                        2,300       0
VIRGIN MEDIA INC COM     CMN            92769L101    3,611    120,632 SH       DEFINED    2                      120,632       0
VIROPHARMA INC COM U     CMN            928241108      676     36,519 SH       SOLE       2            36,519          0       0
VISA INC USD0.0001       CMN            92826C839       13        155 SH       DEFINED    1                          155       0
VISA INC USD0.0001       CMN            92826C839    4,455     52,873 SH       DEFINED    2                       52,873       0
VISA INC USD0.0001       CMN            92826C839    2,336     27,723 SH       DEFINED    2                       27,723       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
Visa Inc.                CMN            92826C839    2,765     32,815 SH       SOLE       3            32,815          0       0
VISHAY INTERTECHNOLO     CMN            928298108      174     11,560 SH       SOLE       2            11,560          0       0
VISTAPRINT NV COM ST     CMN            N93540107      400      8,366 SH       SOLE       2             8,366          0       0
VODAFONE GROUP PLC O     CMN            92857W209   11,258    421,360 SH       SOLE       2           421,360          0       0
W&T OFFSHORE INC COM     CMN            92922P106    2,998    114,739 SH       DEFINED    1                      114,739       0
W&T OFFSHORE INC COM     CMN            92922P106       38      1,444 SH       DEFINED    2                        1,444       0
WALGREEN CO COM USD0     CMN            931422109    1,519     35,787 SH       SOLE       2            35,787          0       0
WAL-MART STORES INC      CMN            931142103       11        200 SH       DEFINED    1                          200       0
WAL-MART STORES INC      CMN            931142103    2,237     42,098 SH       DEFINED    2                       42,098       0
WALT DISNEY CO/THE D     CMN            254687106    4,292    109,925 SH       DEFINED    1                      109,925       0
WALT DISNEY CO/THE D     CMN            254687106    1,451     37,159 SH       DEFINED    2                       37,159       0
WALTER ENERGY INC CO     CMN            93317Q105       23        200 SH       DEFINED    1                          200       0
WALTER ENERGY INC CO     CMN            93317Q105      281      2,427 SH       DEFINED    2                        2,427       0
WARNER MUSIC GROUP C     CMN            934550104    1,006    122,400 SH       DEFINED    1                      122,400       0
WARNER MUSIC GROUP C     CMN            934550104        2        200 SH       DEFINED    2                          200       0
WASTE CONNECTIONS IN     CMN            941053100      236      7,447 SH       SOLE       2             7,447          0       0
WASTE MANAGEMENT INC     CMN            94106L109      261      7,004 SH       SOLE       2             7,004          0       0
WATERS CORP COM USD0     CMN            941848103      134      1,400 SH       DEFINED    1                        1,400       0
WATERS CORP COM USD0     CMN            941848103       92        965 SH       DEFINED    2                          965       0
WATSCO INC COM USD0.     CMN            942622200      406      5,966 SH       DEFINED    2                        5,966       0
WATSCO INC COM USD0.     CMN            942622200      111      1,628 SH       DEFINED    2                        1,628       0
WATSON PHARMACEUTICA     CMN            942683103      363      5,287 SH       SOLE       2             5,287          0       0
WEATHERFORD INTERNAT     CMN            H27013103      558     29,752 SH       SOLE       2            29,752          0       0
WEBMD HEALTH CORP CO     CMN            94770V102      371      8,150 SH       DEFINED    1                        8,150       0
WEBMD HEALTH CORP CO     CMN            94770V102    1,731     37,987 SH       DEFINED    2                       37,987       0
WELLPOINT INC COM US     CMN            94973V107       13        160 SH       DEFINED    1                          160       0
WELLPOINT INC COM US     CMN            94973V107   19,338    245,512 SH       DEFINED    2                      245,512       0
WELLPOINT INC COM US     CMN            94973V107      225      2,858 SH       DEFINED    2                        2,858       0
WELLS FARGO & CO COM     CMN            949746101        3        100 SH       DEFINED    1                          100       0
WELLS FARGO & CO COM     CMN            949746101      562     20,036 SH       DEFINED    2                       20,036       0
WELLS FARGO & CO COM     CMN            949746101      989     35,248 SH       DEFINED    2                       35,248       0
WESTERN REFINING INC     CMN            959319104      284     15,716 SH       SOLE       2            15,716          0       0
WHIRLPOOL CORP COM U     CMN            963320106      241      2,960 SH       SOLE       2             2,960          0       0
WILLIAMS COS INC COM     CMN            969457100      516     17,061 SH       SOLE       2            17,061          0       0
WILLIAMS-SONOMA INC      CMN            969904101       18        500 SH       DEFINED    1                          500       0
WILLIAMS-SONOMA INC      CMN            969904101      754     20,679 SH       DEFINED    2                       20,679       0
WORLD ACCEPTANCE COR     CMN            981419104      283      4,318 SH       SOLE       2             4,318          0       0
WW GRAINGER INC COM      CMN            384802104      262      1,705 SH       SOLE       2             1,705          0       0
WYNDHAM WORLDWIDE CO     CMN            98310W108    8,374    248,806 SH       DEFINED    2                      248,806       0
WYNDHAM WORLDWIDE CO     CMN            98310W108       50      1,481 SH       DEFINED    2                        1,481       0
WYNN RESORTS LTD COM     CMN            983134107      372      2,590 SH       DEFINED    1                        2,590       0
WYNN RESORTS LTD COM     CMN            983134107    4,475     31,175 SH       DEFINED    2                       31,175       0
XCEL ENERGY INC COM      CMN            98389B100    1,502     61,801 SH       DEFINED    1                       61,801       0
XCEL ENERGY INC COM      CMN            98389B100       28      1,159 SH       DEFINED    2                        1,159       0
XEROX CORP COM USD1      CMN            984121103      141     13,559 SH       SOLE       2            13,559          0       0
XILINX INC COM USD0.     CMN            983919101      270      7,417 SH       SOLE       2             7,417          0       0
XINYUAN REAL ESTATE      CMN            98417P105    3,584  1,638,618 SH       SOLE       2         1,638,618          0       0
XOMA LTD ORD USD0.00     CMN            G9825R206       36     15,300 SH       SOLE       2            15,300          0       0
YAHOO INC COM USD0.0     CMN            984332106   21,036  1,398,058 SH       DEFINED    1                    1,398,058       0
YAHOO INC COM USD0.0     CMN            984332106    2,895    192,387 SH       DEFINED    2                      192,387       0
YAHOO INC COM USD0.0     CMN            984332106    8,421    559,665 SH       DEFINED    2                      559,665       0
YAMANA GOLD INC COM      CMN            98462Y100      675     58,047 SH       SOLE       2            58,047          0       0
YANDEX NV COM NPV        CMN            N97284108      641     18,050 SH       SOLE       2            18,050          0       0
YINGLI GREEN ENERG A     CMN            98584B103    1,492    162,098 SH       SOLE       2           162,098          0       0
YOUKU.COM INC 'ADS'N     CMN            98742U100      341      9,942 SH       SOLE       2             9,942          0       0
YRC WORLDWIDE INC US     CMN            984249300       19     17,208 SH       SOLE       2            17,208          0       0
YUM! BRANDS INC COM      CMN            988498101   53,653    971,371 SH       DEFINED    1                      971,371       0
YUM! BRANDS INC COM      CMN            988498101      505      9,151 SH       DEFINED    2                        9,151       0
ZEBRA TECHNOLOGIES C     CMN            989207105      537     12,742 SH       SOLE       2            12,742          0       0
ZHONGPIN INC COM STK     CMN            98952K107      507     48,329 SH       SOLE       2            48,329          0       0






                                                  FORM 13F INFORMATION TABLE

        COLUMN 1            COLUMN 2    COLUMN 3  COLUMN 4      COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
------------------------ -------------- --------- -------- ------------------- ---------- -------- -----------------------------
                                                   VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
     NAME OF ISSUER      TITLE OF CLASS   CUSIP   (x$1000)  PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE      SHARED    NONE
------------------------ -------------- --------- -------- ---------- --- ---- ---------- -------- ---------- ---------- -------
                                                                                        
ZOLL MEDICAL CORP CO     CMN            989922109      417      7,354 SH       SOLE       2             7,354          0       0
ZORAN CORP COM USD0.     CMN            98975F101      133     15,855 SH       SOLE       2            15,855          0       0