OMB APPROVAL ---------------------------- OMB Number: Expires: Estimated average burden hours per response..... ---------------------------- SEC USE ONLY ---------------------------- ---------------------------- UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13f Cover Page Report for the Calendar Year or Quarter Ended September 30, 2009 If amended report check here: |_| Amendment Number: ____ This Amendment (Check only one): |_| is a restatement |_| adds new holding entries. PRIOR FILINGS FOR THE NOMURA GROUP WERE REPORTED UNDER THE NAME NOMURA SECURITIES COMPANY, WITH CIK NUMBER 0000110097. SUBSEQUENT FILINGS WILL BE MADE UNDER THE NAME NOMURA HOLDINGS, INC., CIK NUMBER 0001163653. NOMURA HOLDINGS, INC. (NHI) IS THE PARENT HOLDING COMPANY OF A NUMBER OF OPERATING SUBSIDIARIES, SOME OF WHICH ARE OR MAY BE INSTITUTIONAL INVESTMENT MANAGERS FOR THE PURPOSES OF THE REPORTING REQUIREMENTS UNDER SECTION 13(F) OF THE SECURITIES EXCHANGE ACT OF 1934 (THE ACT) AND THE RULES PROMULGATED THEREUNDER. NHI ITSELF DOES NOT DIRECTLY EXERCISE INVESTMENT DISCRETION WITH RESPECT TO ANY SECTION 13(F) SECURITIES POSITIONS. IN THAT NHI'S OWNERSHIP INTEREST IN SUCH OPERATING SUBSIDIARIES IS DEEMED THE EXERCISE OF INVESTMENT DISCRETION REGARDING CERTAIN OF SUCH SUBSIDIARIES' MANAGED ACCOUNTS, THE INFORMATION REQUIRED BY FORM 13F IS REPORTED BY NHI ON BEHALF OF CERTAIN OF NHI'S OPERATING SUBSIDIARIES WHICH ARE INSTITUTIONAL INVESTMENT MANAGERS SUBJECT TO SECTION 13(F)OF THE ACT. Nomura Holdings Inc. -------------------------------------------------------------------------------- Name of Institutional Investment Manager 1-9-1, Nihonbashi, Chuo-ku, Tokyo 103-8011, Japan -------------------------------------------------------------------------------- Business Address (Street) (City) (State) (Zip) 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, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Brendan G. Daly Head of Compliance and Surveillance 212-667-1246 -------------------------------------------------------------------------------- Name (Title) (Phone) /s/ Brendan G. Daly ------------------------------------------ (Manual Signature of Person Duly Authorized to Submit This Report) New York, NY November 10, 2009 ------------------------------------------ (Place and Date of Signing) Report Type: [ ] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [X] 13F COMBINATION REPORT. Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 4 Form 13F Information Table Entry Total: 345 Form 13F Information Table Value Total: 3,983,073,577 List of Other Included Managers: Name and 13F file numbers of ALL Institutional Investment Managers with respect to which this schedule is filed (other than the one filing this report): (List in alphabetical order). 13F File No.: Name: ------------- --------------------- 6. 28-05739 Global Funds Management, S.A. ------------- --------------------- 2. 28-04985 Nomura International plc ------------- --------------------- 4. 28-04993 Nomura Securities (Bermuda) ------------- --------------------- 1. 28-04983 Nomura Securities International, Inc. ------------- --------------------- 1Page 1 07-08-13 14:21:11 FORM 13F INFORMATION TABLE QUARTER ENDING 09/30/2009 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0 DEUTSCHE BANK AG D18190898 70,810 000000970000 SH DEFINED 01 SOLE ACCENTURE LTD BERMUDA G1150G111 16,912 000000455922 SH DEFINED 02 SOLE COVIDIEN PLC G2554F105 38,558 000000891321 SH DEFINED 02 SOLE UTI WORLDWIDE INC G87210103 6,789 000000468893 SH DEFINED 02 SOLE XL CAP LTD G98255105 1,086 000000064700 SH DEFINED 01 SOLE MILLICOM INTL CELLULAR S A L6388F110 824 000000011600 SH DEFINED 01 SOLE AFLAC INC 001055102 949 000000022503 SH DEFINED 02 SOLE AES CORP 00130H105 1,936 000000140000 SH DEFINED 01 SOLE AMR CORP 001765106 179 000000022583 SH DEFINED 02 SOLE AT&T INC 00206R102 1,613 000000059721 SH DEFINED 02 SOLE ABBOTT LABS 002824100 1,096 000000022475 SH DEFINED 02 SOLE AETNA INC NEW 00817Y108 11,394 000000409433 SH DEFINED 02 SOLE AGRIUM INC 008916108 32,842 000000659630 SH DEFINED 02 SOLE AIR PRODS & CHEMS INC 009158106 1,735 000000022509 SH DEFINED 02 SOLE AIRTRAN HLDGS INC 00949P108 3,290 000000526424 SH DEFINED 02 SOLE ALCOA INC 013817101 16,249 000001257700 SH DEFINED 01 SOLE ALLEGHENY TECHNOLOGIES INC 01741R102 788 000000022530 SH DEFINED 02 SOLE ALLIS CHALMERS ENERGY INC 019645506 84 000000019400 SH DEFINED 01 SOLE ALTERA CORP 021441100 460 000000022541 SH DEFINED 02 SOLE AMAZON COM INC 023135106 26,821 000000291615 SH DEFINED 02 SOLE AMERICAN EAGLE OUTFITTERS NE 02553E106 4,916 000000291619 SH DEFINED 02 SOLE AMERICAN EXPRESS CO 025816109 761 000000022570 SH DEFINED 02 SOLE AMERICAN INTL GROUP INC 026874784 995 000000022577 SH DEFINED 02 SOLE AMERICAN TOWER CORP 029912201 11,308 000000311992 SH DEFINED 02 SOLE AMERICREDIT CORP 03060R101 240 000000016000 SH DEFINED 01 SOLE AMGEN INC 031162100 4,122 000000069878 SH DEFINED 01 SOLE ANALOG DEVICES INC 032654105 621 000000022591 SH DEFINED 02 SOLE APACHE CORP 037411105 2,073 000000022600 SH DEFINED 02 SOLE APOLLO GROUP INC 037604105 23,470 000000323769 SH DEFINED 02 SOLE APPLIED MATLS INC 038222105 157 000000012200 SH DEFINED 01 SOLE AQUA AMERICA INC 03836W103 5,741 000000335469 SH DEFINED 02 SOLE ARCELORMITTAL SA LUXEMBOURG 03938L104 1,673 000000047850 SH DEFINED 01 SOLE ARKANSAS BEST CORP DEL 040790107 12,050 000000402484 SH DEFINED 02 SOLE ARMSTRONG WORLD INDS INC NEW 04247X102 837 000000024305 SH DEFINED 01 SOLE ASSET ACCEP CAP CORP 04543P100 4,284 000000590937 SH DEFINED 02 SOLE AUTOZONE INC 053332102 3,283 000000022656 SH DEFINED 02 SOLE AVALONBAY CMNTYS INC 053484101 1,641 000000022658 SH DEFINED 02 SOLE AVON PRODS INC 054303102 754 000000022664 SH DEFINED 02 SOLE BB&T CORP 054937107 662 000000024119 SH DEFINED 02 SOLE BAKER HUGHES INC 057224107 962 000000022670 SH DEFINED 02 SOLE BANK OF AMERICA CORPORATION 060505104 347 000000020500 SH DEFINED 01 SOLE BANK OF AMERICA CORPORATION 060505104 5,160 000000306370 SH DEFINED 02 SOLE BANK OF NEW YORK MELLON CORP 064058100 7,753 000000277900 SH DEFINED 01 SOLE BANK OF NEW YORK MELLON CORP 064058100 656 000000022733 SH DEFINED 02 SOLE BARNES & NOBLE INC 067774109 5,480 000000246652 SH DEFINED 02 SOLE BAXTER INTL INC 071813109 8,651 000000155300 SH DEFINED 01 SOLE BED BATH & BEYOND INC 075896100 840 000000022703 SH DEFINED 02 SOLE 1Page 2 09-11-06 15:58:54 0 FORM 13F INFORMATION TABLE QUARTER ENDING 09/30/2009 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0BEST BUY INC 086516101 852 000000022716 SH DEFINED 02 SOLE BLACKROCK INC 09247X101 105,228 000000485328 SH DEFINED 02 SOLE BOEING CO 097023105 1,222 000000022743 SH DEFINED 02 SOLE BOSTON PROPERTIES INC 101121101 21,839 000000334425 SH DEFINED 02 SOLE BOSTON SCIENTIFIC CORP 101137107 236 000000022750 SH DEFINED 02 SOLE BOYD GAMING CORP 103304101 3,662 000000335053 SH DEFINED 02 SOLE BRINKER INTL INC 109641100 358 000000022762 SH DEFINED 02 SOLE BRINKS CO 109696104 643 000000023903 SH DEFINED 02 SOLE BRISTOL MYERS SQUIBB CO 110122108 513 000000022763 SH DEFINED 02 SOLE BROADCOM CORP 111320107 10,138 000000334426 SH DEFINED 02 SOLE BURLINGTON NORTHN SANTA FE C 12189T104 1,809 000000022782 SH DEFINED 02 SOLE CF INDS HLDGS INC 125269100 75,413 000000874564 SH DEFINED 02 SOLE CME GROUP INC 12572Q105 164,801 000000534741 SH DEFINED 02 SOLE CSX CORP 126408103 963 000000022986 SH DEFINED 02 SOLE CA INC 12673P105 504 000000022930 SH DEFINED 02 SOLE CABLEVISION SYS CORP 12686C109 6,050 000000256830 SH DEFINED 02 SOLE CALPINE CORP 131347304 246 000000022300 SH DEFINED 01 SOLE CAMERON INTERNATIONAL CORP 13342B105 12,648 000000334428 SH DEFINED 02 SOLE CANADIAN NAT RES LTD 136385101 40,631 000000604724 SH DEFINED 02 SOLE CAPITAL ONE FINL CORP 14040H105 744 000000022128 SH DEFINED 01 SOLE CAPITAL ONE FINL CORP 14040H105 804 000000022812 SH DEFINED 02 SOLE CARNIVAL CORP 143658300 74 000000022813 SH DEFINED 02 SOLE CATERPILLAR INC DEL 149123101 1,168 000000022827 SH DEFINED 02 SOLE CHESAPEAKE ENERGY CORP 165167107 7,298 000000258822 SH DEFINED 02 SOLE CHEVRON CORP NEW 166764100 1,605 000000022865 SH DEFINED 02 SOLE CHINA MED TECHNOLOGIES INC 169483104 11,923 000000735131 SH DEFINED 02 SOLE CHIQUITA BRANDS INTL INC 170032809 562 000000035400 SH DEFINED 01 SOLE CHUBB CORP 171232101 1,154 000000022876 SH DEFINED 02 SOLE CISCO SYS INC 17275R102 235 000000010200 SH DEFINED 01 SOLE CISCO SYS INC 17275R102 535 000000022890 SH DEFINED 02 SOLE CITIGROUP INC 172967101 53 000000011800 SH DEFINED 01 SOLE CITIGROUP INC 172967101 1,414 000000306550 SH DEFINED 02 SOLE CITRIX SYS INC 177376100 11,222 000000291691 SH DEFINED 02 SOLE COACH INC 189754104 14,498 000000444274 SH DEFINED 02 SOLE COCA COLA CO 191216100 1,216 000000022908 SH DEFINED 02 SOLE COGNIZANT TECHNOLOGY SOLUTIO 192446102 17,432 000000454915 SH DEFINED 02 SOLE COLGATE PALMOLIVE CO 194162103 1,749 000000022914 SH DEFINED 02 SOLE COMMERCIAL METALS CO 201723103 6,007 000000335139 SH DEFINED 02 SOLE CONOCOPHILLIPS 20825C104 300 000000006600 SH DEFINED 01 SOLE CONOCOPHILLIPS 20825C104 1,073 000000023891 SH DEFINED 02 SOLE CONSOL ENERGY INC 20854P109 19,385 000000435390 SH DEFINED 02 SOLE CONTINENTAL AIRLS INC 210795308 4,729 000000313600 SH DEFINED 01 SOLE CONTINENTAL AIRLS INC 210795308 377 000000022938 SH DEFINED 02 SOLE CORNING INC 219350105 350 000000022962 SH DEFINED 02 SOLE COSTCO WHSL CORP NEW 22160K105 19,767 000000351773 SH DEFINED 02 SOLE CUMMINS INC 231021106 1,012 000000022989 SH DEFINED 02 SOLE 1Page 3 09-11-06 15:58:54 0 FORM 13F INFORMATION TABLE QUARTER ENDING 09/30/2009 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0D R HORTON INC 23331A109 3,584 000000335182 SH DEFINED 02 SOLE DANA HOLDING CORP 235825205 3,880 000000569794 SH DEFINED 01 SOLE DANA HOLDING CORP 235825205 366 000000053796 SH DEFINED 01 NONE DANAHER CORP DEL 235851102 1,534 000000022998 SH DEFINED 02 SOLE DARDEN RESTAURANTS INC 237194105 755 000000022999 SH DEFINED 02 SOLE DEERE & CO 244199105 978 000000023009 SH DEFINED 02 SOLE DELL INC 24702R101 1,100 000000072700 SH DEFINED 01 SOLE DELL INC 24702R101 349 000000023011 SH DEFINED 02 SOLE DELTA AIR LINES INC DEL 247361702 43 000000004851 SH DEFINED 01 NONE DELTA AIR LINES INC DEL 247361702 533 000000059562 SH DEFINED 01 SOLE DELTA AIR LINES INC DEL 247361702 8,655 000001063372 SH DEFINED 01 SOLE DIRECTV GROUP INC 25459L106 16,097 000000583650 SH DEFINED 02 SOLE DONNELLEY R R & SONS CO 257867101 769 000000037100 SH DEFINED 01 SOLE DOW CHEM CO 260543103 254 000000010400 SH DEFINED 01 SOLE DUKE REALTY CORP 264411505 157 000000013800 SH DEFINED 01 SOLE E M C CORP MASS 268648102 391 000000023092 SH DEFINED 02 SOLE ENSCO INTL INC 26874Q100 979 000000023101 SH DEFINED 02 SOLE EBAY INC 278642103 8,120 000000349635 SH DEFINED 02 SOLE EMERSON ELEC CO 291011104 917 000000023093 SH DEFINED 02 SOLE ENCANA CORP 292505104 32,462 000000563492 SH DEFINED 02 SOLE EQUITY RESIDENTIAL 29476L107 1,728 000000056555 SH DEFINED 02 SOLE EXELON CORP 30161N101 782 000000016147 SH DEFINED 01 SOLE EXELON CORP 30161N101 1,176 000000023863 SH DEFINED 02 SOLE EXPEDITORS INTL WASH INC 302130109 11,665 000000335205 SH DEFINED 02 SOLE EXXON MOBIL CORP 30231G102 225 000000003350 SH DEFINED 01 SOLE EXXON MOBIL CORP 30231G102 24,390 000000355619 SH DEFINED 02 SOLE FTI CONSULTING INC 302941109 421 000000009900 SH DEFINED 01 SOLE FEDERAL MOGUL CORP 313549404 992 000000082190 SH DEFINED 01 SOLE FEDERAL REALTY INVT TR 313747206 1,414 000000023140 SH DEFINED 02 SOLE FIFTH THIRD BANCORP 316773100 246 000000026100 SH DEFINED 01 SOLE FIFTH THIRD BANCORP 316773100 230 000000023149 SH DEFINED 02 SOLE FIRST SOLAR INC 336433107 133,492 000000869714 SH DEFINED 02 SOLE FLUOR CORP NEW 343412102 20,661 000000410480 SH DEFINED 02 SOLE FORD MTR CO DEL 345370860 170 000000023182 SH DEFINED 02 SOLE FRANKLIN RES INC 354613101 201 000000002077 SH DEFINED 01 SOLE FREEPORT-MCMORAN COPPER & GO 35671D782 3,777 000000036675 SH DEFINED 01 NONE FREEPORT-MCMORAN COPPER & GO 35671D782 4,895 000000047525 SH DEFINED 01 SOLE GAP INC DEL 364760108 492 000000023215 SH DEFINED 02 SOLE GAYLORD ENTMT CO NEW 367905106 227 000000012600 SH DEFINED 01 SOLE GEORGIA GULF CORP 373200302 4,187 000000139579 SH DEFINED 01 SOLE GEORGIA GULF CORP 373200302 555 000000018529 SH DEFINED 01 NONE GOLDMAN SACHS GROUP INC 38141G104 6,774 000000037850 SH DEFINED 01 SOLE GOLDMAN SACHS GROUP INC 38141G104 63,315 000000344705 SH DEFINED 02 SOLE GRACE W R & CO DEL NEW 38388F108 263 000000012121 SH DEFINED 01 SOLE GREENHILL & CO INC 395259104 54,523 000000608653 SH DEFINED 02 SOLE GROUP 1 AUTOMOTIVE INC 398905109 232 000000008650 SH DEFINED 01 SOLE HCP INC 40414L109 1,596 000000055891 SH DEFINED 02 SOLE HALLIBURTON CO 406216101 625 000000023295 SH DEFINED 02 SOLE HARTFORD FINL SVCS GROUP INC 416515104 631 000000023445 SH DEFINED 02 SOLE 1Page 4 09-11-06 15:58:54 0 FORM 13F INFORMATION TABLE QUARTER ENDING 09/30/2009 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0HATTERAS FINL CORP 41902R103 29,328 000000978273 SH DEFINED 02 SOLE HEALTH CARE REIT INC 42217K106 10,317 000000246734 SH DEFINED 02 SOLE HECLA MNG CO 422704106 101 000000023325 SH DEFINED 02 SOLE HEWLETT PACKARD CO 428236103 1,091 000000023334 SH DEFINED 02 SOLE HOME DEPOT INC 437076102 616 000000023347 SH DEFINED 02 SOLE HONEYWELL INTL INC 438516106 13,343 000000364831 SH DEFINED 02 SOLE HORNBECK OFFSHORE SVCS INC N 440543106 302 000000010988 SH DEFINED 01 SOLE HOST HOTELS & RESORTS INC 44107P104 271 000000023599 SH DEFINED 02 SOLE HUDSON CITY BANCORP 443683107 6,876 000000526735 SH DEFINED 02 SOLE HUNT J B TRANS SVCS INC 445658107 740 000000023366 SH DEFINED 02 SOLE ITT EDUCATIONAL SERVICES INC 45068B109 563 000000005200 SH DEFINED 01 SOLE IDENIX PHARMACEUTICALS INC 45166R204 1,904 000000622399 SH DEFINED 02 SOLE ILLINOIS TOOL WKS INC 452308109 994 000000023380 SH DEFINED 02 SOLE INNOPHOS HOLDINGS INC 45774N108 224 000000012140 SH DEFINED 01 SOLE INTEL CORP 458140100 455 000000023412 SH DEFINED 02 SOLE INTERCONTINENTALEXCHANGE INC 45865V100 74,170 000000763152 SH DEFINED 02 SOLE INTUITIVE SURGICAL INC 46120E602 115,737 000000453267 SH DEFINED 02 SOLE INTUIT 461202103 8,038 000000287744 SH DEFINED 02 SOLE ISHARES COMEX GOLD TR 464285105 75,498 000000763153 SH DEFINED 02 SOLE ISHARES INC 464286400 39,882 000000589629 SH DEFINED 02 SOLE SHARES INC 464286673 7,058 000000656566 SH DEFINED 02 SOLE ISHARES INC 464286772 21,543 000000454698 SH DEFINED 02 SOLE ISHARES INC 464286848 4,849 000000488107 SH DEFINED 02 SOLE ISHARES INC 464286871 6,111 000000393783 SH DEFINED 02 SOLE ISHARES TR INDEX 464287101 29,438 000000600060 SH DEFINED 02 SOLE ISHARES TR INDEX 464287184 26,315 000000643086 SH DEFINED 02 SOLE ISHARES TR INDEX 464287234 23,297 000000598758 SH DEFINED 02 SOLE ISHARES TR INDEX 464287465 32,062 000000586362 SH DEFINED 02 SOLE ISHARES TR INDEX 464287473 23,080 000000651625 SH DEFINED 02 SOLE ISHARES TR INDEX 464287598 34,250 000000617230 SH DEFINED 02 SOLE ISHARES TR INDEX 464287622 35,061 000000603463 SH DEFINED 02 SOLE ISHARES TR INDEX 464287655 33,946 000000563518 SH DEFINED 02 SOLE ISHARES TR INDEX 464287721 31,019 000000597105 SH DEFINED 02 SOLE ISHARES TR INDEX 464287739 25,019 000000586344 SH DEFINED 02 SOLE ISHARES TR INDEX 464287838 34,610 000000631571 SH DEFINED 02 SOLE JDS UNIPHASE CORP 46612J507 2,076 000000292119 SH DEFINED 02 SOLE JPMORGAN CHASE & CO 46625H100 14,113 000000341157 SH DEFINED 01 SOLE JPMORGAN CHASE & CO 46625H100 407 000000009300 SH DEFINED 01 SOLE JPMORGAN CHASE & CO 46625H100 1,007 000000022862 SH DEFINED 02 SOLE JACOBS ENGR GROUP INC 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2,832 000000109000 SH DEFINED 01 SOLE KRAFT FOODS INC 50075N104 11,234 000000435882 SH DEFINED 02 SOLE LAS VEGAS SANDS CORP 517834107 10,898 000000655126 SH DEFINED 02 SOLE LAYNE CHRISTENSEN CO 521050104 1,917 000000059818 SH DEFINED 02 SOLE LEAP WIRELESS INTL INC 521863308 766 000000044000 SH DEFINED 01 SOLE LINCOLN ELEC HLDGS INC 533900106 21,514 000000453405 SH DEFINED 02 SOLE LINCOLN NATL CORP IND 534187109 602 000000023542 SH DEFINED 02 SOLE LINEAR TECHNOLOGY CORP 535678106 649 000000023544 SH DEFINED 02 SOLE LOCKHEED MARTIN CORP 539830109 1,840 000000023551 SH DEFINED 02 SOLE LOEWS CORP 540424108 804 000000023553 SH DEFINED 02 SOLE MACYS INC 55616P104 412 000000023137 SH DEFINED 02 SOLE MARKET VECTORS ETF TR 57060U100 4,607 000000107000 SH DEFINED 01 SOLE MARSH & MCLENNAN COS INC 571748102 583 000000023600 SH DEFINED 02 SOLE MARRIOTT INTL INC NEW 571903202 7,628 000000280411 SH DEFINED 02 SOLE MARTIN MARIETTA MATLS INC 573284106 2,255 000000024496 SH DEFINED 02 SOLE MASSEY ENERGY CORP 576206106 646 000000023173 SH DEFINED 02 SOLE MASTERCARD INC 57636Q104 10,357 000000051940 SH DEFINED 01 SOLE MCDONALDS CORP 580135101 1,333 000000023622 SH DEFINED 02 SOLE MEDCO HEALTH SOLUTIONS INC 58405U102 291 000000005400 SH DEFINED 01 SOLE MEDTRONIC INC 585055106 446 000000012148 SH DEFINED 01 SOLE MERCK & CO INC 589331107 740 000000023650 SH DEFINED 02 SOLE METLIFE INC 59156R108 14,837 000000389480 SH DEFINED 02 SOLE MICROSOFT CORP 594918104 603 000000023669 SH DEFINED 02 SOLE MICROCHIP TECHNOLOGY INC 595017104 7,661 000000291925 SH DEFINED 02 SOLE MIDCAP SPDR TR 595635103 71,719 000000563520 SH DEFINED 02 SOLE MINDRAY MEDICAL INTL LTD 602675100 27,007 000000827429 SH DEFINED 02 SOLE MIRANT CORP NEW 60467R100 677 000000042800 SH DEFINED 01 SOLE MONSANTO CO NEW 61166W101 36,240 000000468586 SH DEFINED 02 SOLE MORGAN STANLEY 617446448 708 000000023007 SH DEFINED 02 SOLE MOSAIC CO 61945A107 6,189 000000133300 SH DEFINED 01 SOLE MOTOROLA INC 620076109 197 000000023704 SH 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------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0NORDSTROM INC 655664100 725 000000023772 SH DEFINED 02 SOLE NORFOLK SOUTHERN CORP 655844108 1,027 000000023776 SH DEFINED 02 SOLE NORTHERN TR CORP 665859104 1,382 000000023777 SH DEFINED 02 SOLE NORTHROP GRUMMAN CORP 666807102 1,229 000000023780 SH DEFINED 02 SOLE OCCIDENTAL PETE CORP DEL 674599105 1,849 000000023797 SH DEFINED 02 SOLE OLD DOMINION FGHT LINES INC 679580100 16,033 000000526910 SH DEFINED 02 SOLE ONYX PHARMACEUTICALS INC 683399109 8,965 000000299133 SH DEFINED 02 SOLE ORACLE CORP 68389X105 495 000000023817 SH DEFINED 02 SOLE PDL BIOPHARMA INC 69329Y104 466 000000059208 SH DEFINED 02 SOLE P F CHANGS CHINA BISTRO INC 69333Y108 14,465 000000425846 SH DEFINED 02 SOLE PNC FINL SVCS GROUP INC 693475105 1,131 000000023910 SH DEFINED 02 SOLE PACCAR INC 693718108 884 000000023834 SH DEFINED 02 SOLE PARKER HANNIFIN CORP 701094104 240 000000004800 SH DEFINED 01 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